Is UA Worth Buying in 2026?

Under Armour, Inc. Class C Common Stock, $0.0003 1/3 par value

STOCK APPAREL & OTHER FINISHD PRODS OF FABRICS & SIMILAR MATL Updated 2026-04-19

Here’s whether Under Armour, Inc. Class C Common Stock, $0.0003 1/3 par value (UA) is worth buying in 2026 — based on weekly-updated price trend, RSI momentum, and return vs. the S&P 500. Our current read: Neutral.

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Neutral

Positives: trading above the 200-day MA (long-term uptrend intact); strong 1-year return of +19.3%; 3-month momentum positive (+10.7%). Concerns: below the 50-day MA (medium-term momentum negative); 50-day MA is falling (-0.40% over 10 days). Currently 20.3% off its 52-week high. Score: +2/7.

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UA is holding above its long-term 200-day MA ($5.46) but has slipped below the 50-day MA ($6.46), pointing to short-term weakness in an otherwise intact trend. An RSI of 67.9 sits in the neutral zone — momentum is neither stretched nor exhausted. The 1-year return of +19.3% compares to +35.1% for SPY (trailed the market by 15.8%). The current 20.3% drawdown from the 52-week high reflects elevated risk for momentum-based strategies.

$10,000 invested 1 year ago → $11,932 today
vs. S&P 500 (SPY) — same period trailed market by 15.8%

1-Year Price Chart

Daily candles
MA-50 MA-200 Up Down

Signal Check

Above 200-day MA ($5.46)
Above 50-day MA ($6.46)
RSI(14) neutral zone (30–70) — currently 67.9
Positive return (+19.3%)
!Within 10% of period high (−20.3%)
Period Range $6.30
$3.95 $7.91
RSI (14) 67.9
0 · OversoldOverbought · 100

Key Metrics

Price$6.30
Period Return+19.3%
Period High$7.91
Period Low$3.95
Drawdown−20.3%
MA-50$6.46
MA-200$5.46
RSI (14)67.9
Avg Volume (30d)2.6M
vs. SPYtrailed by 15.8%
Return Rank#559 of 996

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