PRICE HISTORY
LIVE · NYSEFIG chart by TradingView
- REVENUE FY2025 ENDED DEC 2025
- $1.1B
- EBITDA
- $-1.3B
- FREE CASH FLOW
- $0.2B
- EPS
- $-3.71
- GROSS MARGIN
- 82.43%
- ROIC
- —
Q2 FY26ENDED JUN 2026HOVERDRAG ACROSS ANY CHART TO SCRUB ALL 24 · 8 QUARTERS SHOWNVALUATIONGROWTHPROFITABILITY & RETURNSCASH & CAPITALBALANCE SHEET
VALUATION
what you pay for a unit of the business7 CHARTS⤢
P / E RATIO (TTM)
—
⤢
P / SALES (TTM)
7.4x
-66%7.4x22.0x
⤢
P / BOOK
6.5x
-57%6.5x15.1x
⤢
EV / EBITDA (TTM)
—
⤢
EV / REVENUE (TTM)
—
⤢
FCF YIELD (TTM)
2.43%
+1.2pp1.28%2.43%
⤢
DIVIDEND YIELD (TTM)
—
GROWTH
is the business getting bigger5 CHARTS⤢
REVENUE
$0.4B
+109%⤢
EBITDA (DERIVED)
$-0.1B
$0.1B⤢
NET INCOME
$-0.1B
+$0.7B⤢
EPS (DILUTED)
$-0.21
+$4.17⤢
REVENUE GROWTH YOY
48.25%
+2.1pp46.12%48.25%
PROFITABILITY & RETURNS
what survives to the bottom, and what it earns on capital4 CHARTS⤢
FCF MARGIN
14.65%
-16.1pp12.89%42.20%
⤢
RETURN ON CAPITAL
—
⤢
RETURN ON EQUITY (TTM)
-106.78%
-52.8pp-106.78%-53.98%
MARGIN FUNNEL
every line is a share of the same revenue, so they read on one scale — the gaps are what each layer takes out, and net rises above operating when income arrives from outside the businessGROSS MARGIN83.66%
OPERATING MARGIN-31.69%
NET MARGIN-30.30%
FCF MARGIN14.65%
CASH & CAPITAL
where the money actually goes5 CHARTS⤢
FREE CASH FLOW
$0.1B
-11%⤢
STOCK-BASED COMP
$0.1B
+67%⤢
CAPITAL EXPENDITURE
$0.0B
+1519%⤢
SHARES OUTSTANDING
0.53B
+179%⤢
DIVIDEND / SHARE
—
BALANCE SHEET
how much cushion there is3 CHARTS⤢
CASH & EQUIVALENTS
$0.4B
-24%⤢
TOTAL DEBT
—
⤢
DEBT / EBITDA (TTM)
—
OWNERSHIP
10 LARGEST HOLDERS · WHO OWNS THE FLOATINSTITUTIONS 85.48%INSIDERS 1.64%OTHER / RETAIL 12.87%455 INSTITUTIONAL FILERS
| HOLDER | % HELD | SHARES | VALUE | CHANGE |
|---|---|---|---|---|
| Greylock Xiv Gp LLC | 12.84% | 58.4M | $1.36B | +0.0% |
| Index Venture Associates VI Ltd | 12.67% | 57.7M | $1.34B | +0.0% |
| Sc Us (ttgp), Ltd. | 5.87% | 26.7M | $622.5M | +5.8% |
| FMR, LLC | 4.56% | 20.7M | $482.9M | +119.9% |
| a16z Capital Management, L.L.C. | 3.52% | 16.0M | $372.9M | -1.4% |
| Price (T.Rowe) Associates Inc | 2.75% | 12.5M | $291.6M | +594.7% |
| Two Sigma Investments, LP | 2.45% | 11.2M | $259.9M | +241.1% |
| Vanguard Portfolio Management LLC | 2.20% | 10.0M | $232.9M | NEW |
| Vanguard Capital Management LLC | 1.91% | 8.7M | $202.4M | NEW |
| UBS Group AG | 1.77% | 8.1M | $187.6M | +381.7% |
AS OF 2026-03-31 · MOST RECENT 13F FILINGS
SOURCE → 10-K · 10-Q · 8-K / GUIDANCE · ALL FILINGS
FILING DATA AS OF 2026-08-10. Figures are derived from public SEC EDGAR filings (40most recent quarters shown, Q4 implied as full-year minus Q1-Q3). Valuation multiples use each period’s fiscal period-end close. Live price charts and quotes are provided by TradingView. This page is informational only — it is not investment advice, and figures are not warranted for accuracy. EBITDA is not a GAAP measure; it is derived as operating income + D&A. Verify against the linked source filing before relying on any number here.
FILING DATA AS OF 2026-08-10. Figures are derived from public SEC EDGAR filings (40most recent quarters shown, Q4 implied as full-year minus Q1-Q3). Valuation multiples use each period’s fiscal period-end close. Live price charts and quotes are provided by TradingView. This page is informational only — it is not investment advice, and figures are not warranted for accuracy. EBITDA is not a GAAP measure; it is derived as operating income + D&A. Verify against the linked source filing before relying on any number here.