Everpure (P)


Market Price (9/21/2026): $111.95 | Market Cap: $37.3 BilSector: Information Technology | Industry: Technology Hardware, Storage & Peripherals

Everpure (P)


Market Price (9/21/2026): $111.95
Market Cap: $37.3 Bil
Sector: Information Technology
Industry: Technology Hardware, Storage & Peripherals

Investment Highlights Why It Matters Detailed financial logic regarding cash flow yields vs trend-riding momentum.

0

Strong revenue growth
Rev Chg LTMRevenue Change % Last Twelve Months (LTM) is 27%

Attractive cash flow generation
CFO/Rev LTMCash Flow from Operations / Revenue (Sales), Last Twelve Months (LTM) is 10%

Megatrend and thematic drivers
Megatrends include Water Infrastructure. Themes include Water Treatment & Delivery, and Wastewater Management.

Weak multi-year price returns
3Y Excs Rtn is -16%

Expensive valuation multiples
P/EBITPrice/EBIT or Price/(Operating Income) ratio is 124x, P/CFOPrice/(Cash Flow from Operations). CFO is cash before capital expenditures. is 81x, P/EPrice/Earnings or Price/(Net Income) is 137x

Significant share based compensation
SBC/Rev LTMShare Based Compensation / Revenue (Sales), Last Twelve Months (LTM) is 13%

Yield minus risk free rate is negative
ERPEquity Risk Premium (ERP) = Total Yield - Risk Free Rate, Reflects the premium above risk free assets offered by the investment. is -3.5%

0 Strong revenue growth
Rev Chg LTMRevenue Change % Last Twelve Months (LTM) is 27%
1 Attractive cash flow generation
CFO/Rev LTMCash Flow from Operations / Revenue (Sales), Last Twelve Months (LTM) is 10%
2 Megatrend and thematic drivers
Megatrends include Water Infrastructure. Themes include Water Treatment & Delivery, and Wastewater Management.
3 Weak multi-year price returns
3Y Excs Rtn is -16%
4 Expensive valuation multiples
P/EBITPrice/EBIT or Price/(Operating Income) ratio is 124x, P/CFOPrice/(Cash Flow from Operations). CFO is cash before capital expenditures. is 81x, P/EPrice/Earnings or Price/(Net Income) is 137x
5 Significant share based compensation
SBC/Rev LTMShare Based Compensation / Revenue (Sales), Last Twelve Months (LTM) is 13%
6 Yield minus risk free rate is negative
ERPEquity Risk Premium (ERP) = Total Yield - Risk Free Rate, Reflects the premium above risk free assets offered by the investment. is -3.5%

P in ETFs

Weight = P's share of each fund

VTI0.04%
ITOT0.04%
IWB0.04%
IJH0.00%
VB0.36%
MDYG1.8%
ARKW1.8%
IJK1.7%
+18 more covered ETFs

Valuation & Metrics

Price Chart

Why The Stock Moved

Qualitative Assessment

AI Analysis | Feedback

Updated on 9/17/2026

Everpure (P) stock has gained about 30% since 5/31/2026 because of the following key factors:

1. Exceptional Fiscal Q2 2027 Financial Performance. Everpure reported robust financial results for fiscal Q2 2027, which ended August 2, 2026. The company significantly surpassed analyst expectations, reporting an Earnings Per Share (EPS) of $0.70, considerably higher than the consensus estimate of $0.19. Additionally, quarterly revenue surged by 37.7% year-over-year, reaching $1.19 billion.

2. Increased Fiscal Year 2027 Outlook. Following the strong performance in fiscal Q2 2027, Everpure's management raised its full-year fiscal 2027 revenue guidance to a range between $5.0 billion and $5.7 billion. The company also projected a substantial increase in its adjusted operating income growth rate, from an initial 29-36% to an elevated 48-51%. This revised outlook signaled strong confidence in sustained future growth.

Show more
Updated on 9/17/2026

Everpure (P) stock has gained about 30% since 5/31/2026 because of the following key factors:

1. Exceptional Fiscal Q2 2027 Financial Performance. Everpure reported robust financial results for fiscal Q2 2027, which ended August 2, 2026. The company significantly surpassed analyst expectations, reporting an Earnings Per Share (EPS) of $0.70, considerably higher than the consensus estimate of $0.19. Additionally, quarterly revenue surged by 37.7% year-over-year, reaching $1.19 billion.

2. Increased Fiscal Year 2027 Outlook. Following the strong performance in fiscal Q2 2027, Everpure's management raised its full-year fiscal 2027 revenue guidance to a range between $5.0 billion and $5.7 billion. The company also projected a substantial increase in its adjusted operating income growth rate, from an initial 29-36% to an elevated 48-51%. This revised outlook signaled strong confidence in sustained future growth.

3. Strategic Gains in AI and Hyperscaler Markets. Everpure demonstrated increasing momentum in the Artificial Intelligence (AI) and hyperscaler markets. Key drivers included a landmark design win with a second top-five hyperscaler and the expansion into Data Intelligence, with new offerings such as Everpure Data Stream. These advancements positioned the company favorably in critical technology sectors.

4. Inclusion in the S&P 500 Index. A significant market catalyst was the announcement that Everpure would be included in the S&P 500 index, effective before market open on Monday, September 21, 2026. This inclusion typically leads to increased demand for the stock from index-tracking funds and heightened institutional investor interest, improving liquidity and market visibility.

5. Positive Analyst Sentiment and Upgraded Price Targets. In response to Everpure's strong financial results and strategic progress, numerous Wall Street analysts upgraded their ratings and substantially increased their price targets for the stock. For instance, Bank of America raised its price target from $90.00 to $150.00, and TD Cowen boosted its target from $100.00 to $170.00. This widespread positive re-evaluation reinforced investor optimism.

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Stock Movement Drivers

Fundamental Drivers

The 31.0% change in P stock from 5/31/2026 to 9/20/2026 was primarily driven by a 16.4% change in the company's Total Revenues ($ Mil).
(LTM values as of)53120269202026Change
Stock Price ($)79.51104.1431.0%
Change Contribution By: 
Total Revenues ($ Mil)3,6634,26216.4%
Net Income Margin (%)5.1%5.9%15.7%
P/E Multiple139.6136.9-2.0%
Shares Outstanding (Mil)330333-0.7%
Cumulative Contribution31.0%

LTM = Last Twelve Months as of date shown

Market Drivers

5/31/2026 to 9/20/2026
ReturnCorrelation
P31.0% 
Market (SPY)0.9%54.5%
Sector (XLK)-0.7%63.0%

Fundamental Drivers

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Market Drivers

2/28/2026 to 9/20/2026
ReturnCorrelation
P  
Market (SPY)11.6%44.5%
Sector (XLK)36.8%55.7%

Fundamental Drivers

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Market Drivers

8/31/2025 to 9/20/2026
ReturnCorrelation
P  
Market (SPY)19.4%44.5%
Sector (XLK)45.1%55.7%

Fundamental Drivers

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Market Drivers

8/31/2023 to 9/20/2026
ReturnCorrelation
P  
Market (SPY)75.6%44.5%
Sector (XLK)119.9%55.7%

Return vs. Risk

Price Returns Compared

 202120222023202420252026Total [1]
Returns
P Return-----55%55%
Peers Return30%-13%52%37%9%126%482%
S&P 500 Return27%-19%24%23%16%12%103%

Monthly Win Rates [3]
P Win Rate-----67% 
Peers Win Rate62%43%65%60%50%69% 
S&P 500 Win Rate75%42%67%75%67%44% 

Max Drawdowns [4]
P Max Drawdown------ 
Peers Max Drawdown-19%-37%-16%-29%-39%-27% 
S&P 500 Max Drawdown-5%-25%-10%-8%-19%-9% 


[1] Cumulative total returns since the beginning of 2021
[2] Peers: DELL, HPE, NTAP, IBM, NTNX.
[3] Win Rate = % of calendar months in which monthly returns were positive
[4] Max drawdown represents maximum peak-to-trough decline within a year
[5] 2026 data is for the year up to 9/18/2026 (YTD)

How Low Can It Go

P has limited trading history. Below is the Information Technology sector ETF (XLK) in its place.

EventXLKS&P 500
2025 US Tariff Shock
  % Loss-25.7%-18.8%
  % Gain to Breakeven34.5%23.1%
  Time to Breakeven65 days79 days
2024 Yen Carry Trade Unwind
  % Loss-17.0%-7.8%
  % Gain to Breakeven20.4%8.5%
  Time to Breakeven92 days18 days
Summer-Fall 2023 Five Percent Yield Shock
  % Loss-10.0%-9.5%
  % Gain to Breakeven11.2%10.5%
  Time to Breakeven15 days24 days
2022 Inflation Shock & Fed Tightening
  % Loss-33.1%-24.5%
  % Gain to Breakeven49.5%32.4%
  Time to Breakeven246 days427 days
2020 COVID-19 Crash
  % Loss-31.2%-33.7%
  % Gain to Breakeven45.2%50.9%
  Time to Breakeven78 days140 days
Q4 2018 Fed Policy Error / Growth Scare
  % Loss-23.8%-19.2%
  % Gain to Breakeven31.2%23.8%
  Time to Breakeven100 days105 days

Compare to DELL, HPE, NTAP, IBM, NTNX

In The Past

State Street Technology Select Sector SPDR ETF's stock fell -25.7% during the 2025 US Tariff Shock. Such a loss loss requires a 34.5% gain to breakeven.

Preserve Wealth

Limiting losses and compounding gains is essential to preserving wealth.

Asset Allocation

Actively managed asset allocation strategies protect wealth. Learn more.

P has limited trading history. Below is the Information Technology sector ETF (XLK) in its place.

EventXLKS&P 500
2025 US Tariff Shock
  % Loss-25.7%-18.8%
  % Gain to Breakeven34.5%23.1%
  Time to Breakeven65 days79 days
2022 Inflation Shock & Fed Tightening
  % Loss-33.1%-24.5%
  % Gain to Breakeven49.5%32.4%
  Time to Breakeven246 days427 days
2020 COVID-19 Crash
  % Loss-31.2%-33.7%
  % Gain to Breakeven45.2%50.9%
  Time to Breakeven78 days140 days
Q4 2018 Fed Policy Error / Growth Scare
  % Loss-23.8%-19.2%
  % Gain to Breakeven31.2%23.8%
  Time to Breakeven100 days105 days
2008-2009 Global Financial Crisis
  % Loss-51.5%-53.4%
  % Gain to Breakeven106.2%114.4%
  Time to Breakeven797 days1085 days

Compare to DELL, HPE, NTAP, IBM, NTNX

In The Past

State Street Technology Select Sector SPDR ETF's stock fell -25.7% during the 2025 US Tariff Shock. Such a loss loss requires a 34.5% gain to breakeven.

Preserve Wealth

Limiting losses and compounding gains is essential to preserving wealth.

Asset Allocation

Actively managed asset allocation strategies protect wealth. Learn more.

About Everpure (P)

Pandora Media, Inc. provides Internet music platform services in North America. The company allows its listeners to create personalized stations to access music and comedy catalogs, as well as personalized playlist generating system; and offers Pandora Plus and Pandora Premium, a paid subscription service to listeners. Pandora Media, Inc. also sells audio, display, and video advertising to advertisers for delivery on computer, mobile, and other connected device platforms. In addition, the company offers ticketing and marketing software and services for venues and event promoters to promote their events, as well as allow fans to find and purchase tickets for events. Pandora Media, Inc. was founded in 2000 and is headquartered in Oakland, California.

AI Analysis | Feedback

Here are 1-3 brief analogies for Pandora Media, Inc. (symbol: P):

  • Spotify for personalized radio stations.
  • YouTube for audio, specializing in personalized music and comedy.

AI Analysis | Feedback

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AI Analysis | Feedback

Pandora Media, Inc. (P) primarily serves individuals as the end-users of its core music and comedy streaming platform, while also catering to businesses through its advertising and event services. Its major customer categories include:

  • Individual Listeners and Subscribers: These are the core users who access Pandora's personalized music and comedy content. This category includes both users of the free, ad-supported service and subscribers to paid tiers such as Pandora Plus and Pandora Premium.
  • Advertisers: Businesses and organizations that purchase audio, display, and video advertising space on Pandora's platform to reach its diverse audience across various connected devices.
  • Entertainment Industry Businesses: This category encompasses venues and event promoters who utilize Pandora's specialized ticketing and marketing software and services to promote their events and facilitate ticket sales.

AI Analysis | Feedback

  • Universal Music Group (UMG.AS)
  • Sony Corporation (SONY)
  • Warner Music Group Corp. (WMG)
  • Amazon.com, Inc. (AMZN)

AI Analysis | Feedback

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AI Analysis | Feedback

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AI Analysis | Feedback

1. Dominance of comprehensive on-demand music streaming platforms: The emergence and rapid growth of services like Spotify and Apple Music, which offered vast on-demand music libraries alongside advanced personalization features, directly threatened Pandora's core internet radio model. These platforms shifted consumer expectations toward greater control over music selection and a more expansive listening experience, putting pressure on Pandora to adapt its offerings.

2. Deep integration of music services within technology ecosystems: Major technology companies such as Apple, Amazon, and Google leveraged their dominant hardware and software ecosystems (e.g., iPhones, Android devices, smart speakers) to integrate and promote their own music streaming services. This created a significant competitive disadvantage for standalone platforms like Pandora, making it harder to acquire and retain users who increasingly defaulted to pre-installed or seamlessly integrated services within their chosen device ecosystems.

AI Analysis | Feedback

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AI Analysis | Feedback

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AI Analysis | Feedback

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Better Bets vs. Everpure (P)

Peer Outperformance in Technology Hardware, Storage & Peripherals

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Share of Technology Hardware, Storage & Peripherals constituents that P has outperformed, by holding period. Peers without a full price history over a given window are excluded from that window.
1Y
insufficient peer history
3Y
insufficient peer history
5Y
insufficient peer history
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Median price return by industry across the Information Technology sector, ranked by 5Y. Technology Hardware, Storage & Peripherals is P's own industry. Use this to see which corners of the sector have carried the returns.
Industry Names 1Y med3Y med5Y med Top 3 by 5Y
Electronic Manufacturing Services 9 54.5%185.9%278.9% TTMI 845% · FLEX 734% · SANM 435%
Technology Distributors 9 30.1%72.9%99.7% CLMB 337% · AVT 199% · SNX 156%
Semiconductor Materials & Equipment 26 90.9%83.7%97.5% AXTI 792% · AEHR 738% · KLAC 421%
Communications Equipment 36 16.3%86.8%75.8% AAOI 1451% · FEIM 1030% · LITE 1005%
Electronic Components 26 31.5%70.6%70.4% CLS 4032% · BELFA 1349% · COHR 435%
Technology Hardware, Storage & Peripherals ← 20 31.9%90.0%47.2% DELL 1150% · STX 1112% · WDC 969%
Semiconductors 55 23.7%33.9%40.8% POET 1815% · MU 1344% · NVDA 951%
Internet Services & Infrastructure 6 7.5%49.3%33.5% DOCN 64% · VRSN 44% · GDDY 38%
Electronic Equipment & Instruments 26 -16.0%9.2%-10.0% PI 225% · OSIS 117% · ACFN 108%
IT Consulting & Other Services 28 -24.6%-9.9%-29.0% CHRN 537268% · APLD 1265% · TSSI 669%
Application Software 123 -30.5%-13.3%-45.3% VIDA 176264% · INLX 5435% · PLTR 567%
Systems Software 68 -19.6%12.4%-54.0% QNC 478% · ZETA 406% · PANW 361%
Median of constituents with a full price history over each window. Top names are unfiltered by size in this render.

Recent Active Movers

Peer Comparisons

Peers to compare with:

Financials

PDELLHPENTAPIBMNTNXMedian
NameEverpure Dell Tec.Hewlett .NetApp Internat.Nutanix  
Mkt Price104.14568.0660.76197.79229.5569.80150.97
Mkt Cap34.7366.481.238.8216.118.960.0
Rev LTM4,262151,19741,8717,39169,0972,85424,631
Op Inc LTM22414,5473,2841,92412,7052742,604
FCF LTM1288,5604,1561,65013,1448412,903
FCF 3Y Avg4445,5932,3671,57312,2957301,970
CFO LTM42812,1526,6941,89714,8889174,296
CFO 3Y Avg6938,5664,7771,76913,9748043,273

Growth & Margins

PDELLHPENTAPIBMNTNXMedian
NameEverpure Dell Tec.Hewlett .NetApp Internat.Nutanix  
Rev Chg LTM27.2%49.0%26.6%12.2%7.9%12.4%19.5%
Rev Chg 3Y Avg15.8%19.2%12.8%6.1%4.5%15.3%14.1%
Rev Chg Q37.7%57.7%33.7%29.9%1.1%15.9%31.8%
QoQ Delta Rev Chg LTM8.3%12.8%7.9%6.7%0.3%3.8%7.3%
Op Inc Chg LTM195.6%103.1%61.4%34.0%16.3%58.8%60.1%
Op Inc Chg 3Y Avg410.7%46.1%12.7%21.5%13.3%781.3%33.8%
Op Mgn LTM5.3%9.6%7.8%26.0%18.4%9.6%9.6%
Op Mgn 3Y Avg4.1%7.8%7.3%23.1%17.0%5.6%7.5%
QoQ Delta Op Mgn LTM1.0%1.4%2.0%1.6%-0.4%1.0%1.2%
CFO/Rev LTM10.0%8.0%16.0%25.7%21.5%32.1%18.8%
CFO/Rev 3Y Avg20.7%7.3%13.8%26.1%21.4%31.9%21.1%
FCF/Rev LTM3.0%5.7%9.9%22.3%19.0%29.5%14.5%
FCF/Rev 3Y Avg13.7%4.7%6.7%23.2%18.9%28.9%16.3%

Valuation

PDELLHPENTAPIBMNTNXMedian
NameEverpure Dell Tec.Hewlett .NetApp Internat.Nutanix  
Mkt Cap34.7366.481.238.8216.118.960.0
P/S8.12.41.95.23.16.64.2
P/Op Inc154.625.224.720.117.068.925.0
P/EBIT123.723.824.720.017.555.724.3
P/E136.932.229.127.320.112.528.2
P/CFO81.030.212.120.414.520.620.5
Total Yield0.7%3.5%4.3%4.7%7.9%8.0%4.5%
Dividend Yield0.0%0.4%0.9%1.1%2.9%0.0%0.7%
FCF Yield 3Y Avg-4.1%5.8%6.2%5.6%4.7%5.6%
D/E0.00.10.20.10.30.10.1
Net D/E-0.00.10.2-0.00.3-0.00.0

Returns

PDELLHPENTAPIBMNTNXMedian
NameEverpure Dell Tec.Hewlett .NetApp Internat.Nutanix  
1M Rtn-4.1%28.5%14.0%2.9%-2.6%3.2%3.0%
3M Rtn39.6%38.9%28.5%24.2%-7.2%48.8%33.7%
6M Rtn55.5%262.0%183.5%97.2%-3.7%76.8%87.0%
12M Rtn55.5%336.0%147.5%60.8%-11.6%-9.5%58.1%
3Y Rtn55.5%770.9%284.9%176.3%70.8%106.2%141.2%
1M Excs Rtn-6.3%30.6%15.4%2.4%-2.5%7.4%4.9%
3M Excs Rtn37.6%37.0%26.5%22.2%-9.2%46.8%31.7%
6M Excs Rtn39.7%248.3%162.2%77.6%-22.8%54.3%66.0%
12M Excs Rtn39.6%325.5%135.5%46.5%-25.0%-26.0%43.0%
3Y Excs Rtn-15.7%674.8%218.5%97.7%0.6%22.6%60.2%

Comparison Analyses

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Financials

Segment Financials

Revenue by Segment
$ Mil20262025202420232022
Product revenue1,9721,6991,6231,7921,442
Subscription services revenue1,6911,4691,208961739
Total3,6633,1682,8312,7532,181


Price Behavior

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P Betas & Captures as of 8/31/2026

 1M2M3M6M1Y3Y
Beta1.412.492.84-0.20-0.190.33
Up Beta1.974.383.52-0.910.21-0.72
Down Beta6.642.803.26-0.421.200.17
Up Capture188%236%328%232%106%10%
Bmk +ve Days10213268138427
Stock +ve Days122333525252
Down Capture-197%94%190%140%88%49%
Bmk -ve Days11213259113324
Stock -ve Days91931414141

[1] Upside and downside betas calculated using positive and negative benchmark daily returns respectively
Based On 1-Year Data
Annualized
Return
Annualized
Volatility
Sharpe
Ratio
Correlation
with P
P55.8%71.6%1.76-
Sector ETF (XLK)40.5%26.4%1.2555.7%
Equity (SPY)16.9%12.9%0.9444.5%
Gold (GLD)19.1%29.3%0.6018.7%
Commodities (DBC)46.3%20.6%1.731.2%
Real Estate (VNQ)4.9%13.6%0.10-22.9%
Bitcoin (BTCUSD)-30.6%44.3%-0.7013.6%

Smart multi-asset allocation framework can stack odds in your favor. Learn How
Based On 5-Year Data
Annualized
Return
Annualized
Volatility
Sharpe
Ratio
Correlation
with P
P9.2%71.6%1.76-
Sector ETF (XLK)20.2%25.9%0.6955.7%
Equity (SPY)12.9%17.2%0.5744.5%
Gold (GLD)19.1%18.8%0.8318.7%
Commodities (DBC)11.2%19.5%0.451.2%
Real Estate (VNQ)1.1%18.8%-0.05-22.9%
Bitcoin (BTCUSD)12.5%52.5%0.4213.6%

Smart multi-asset allocation framework can stack odds in your favor. Learn How
Based On 10-Year Data
Annualized
Return
Annualized
Volatility
Sharpe
Ratio
Correlation
with P
P4.5%71.6%1.76-
Sector ETF (XLK)24.4%25.0%0.8855.7%
Equity (SPY)15.1%18.0%0.7244.5%
Gold (GLD)12.1%16.4%0.6118.7%
Commodities (DBC)8.3%18.1%0.371.2%
Real Estate (VNQ)4.4%20.7%0.18-22.9%
Bitcoin (BTCUSD)62.6%66.2%1.0213.6%

Smart multi-asset allocation framework can stack odds in your favor. Learn How

Short Interest

Short Interest: As Of Date8312026
Short Interest: Shares Quantity7.6 Mil
Short Interest: % Change Since 8152026-13.4%
Average Daily Volume3.7 Mil
Days-to-Cover Short Interest2.1 days
Basic Shares Quantity332.9 Mil
Short % of Basic Shares2.3%

Earnings Returns History

Updated 9/4/2026
Expand for More
 Forward Returns
Earnings Date1D Returns5D Returns21D Returns
8/26/2026-8.9%-15.1% 
5/27/2026-14.8%-5.7%-19.3%
SUMMARY STATS   
# Positive000
# Negative221
Median Positive   
Median Negative-11.8%-10.4%-19.3%
Max Positive   
Max Negative-14.8%-15.1%-19.3%
Collapse to Preview
 Forward Returns
Earnings Date1D Returns5D Returns21D Returns
8/26/2026-8.9%-15.1% 
5/27/2026-14.8%-5.7%-19.3%
SUMMARY STATS   
# Positive000
# Negative221
Median Positive   
Median Negative-11.8%-10.4%-19.3%
Max Positive   
Max Negative-14.8%-15.1%-19.3%

SEC Filings

Expand for More
Report DateFiling DateFiling
07/31/202609/04/202610-Q
04/30/202606/05/202610-Q
01/31/202603/25/202610-K
10/31/202512/10/202510-Q
07/31/202509/10/202510-Q
04/30/202506/11/202510-Q
01/31/202503/27/202510-K
10/31/202412/12/202410-Q
07/31/202409/11/202410-Q
04/30/202406/13/202410-Q
01/31/202404/01/202410-K
10/31/202312/15/202310-Q
07/31/202309/14/202310-Q
04/30/202306/16/202310-Q
01/31/202304/03/202310-K
10/31/202212/15/202210-Q
Collapse to Preview
Report DateFiling DateFiling
07/31/202609/04/202610-Q
04/30/202606/05/202610-Q
01/31/202603/25/202610-K
10/31/202512/10/202510-Q
07/31/202509/10/202510-Q
04/30/202506/11/202510-Q
01/31/202503/27/202510-K
10/31/202412/12/202410-Q
07/31/202409/11/202410-Q
04/30/202406/13/202410-Q
01/31/202404/01/202410-K
10/31/202312/15/202310-Q
07/31/202309/14/202310-Q
04/30/202306/16/202310-Q
01/31/202304/03/202310-K
10/31/202212/15/202210-Q
07/31/202209/15/202210-Q
04/30/202206/16/202210-Q
01/31/202204/07/202210-K
10/31/202112/07/202110-Q
07/31/202109/08/202110-Q
04/30/202106/08/202110-Q
01/31/202103/25/202110-K
10/31/202012/09/202010-Q
07/31/202009/11/202010-Q
04/30/202006/11/202010-Q
01/31/202003/27/202010-K
10/31/201912/09/201910-Q

Recent Forward Guidance

Updated 8/27/2026

Latest: Q2 2027 Earnings Reported 8/26/2026

Forward GuidanceGuidance Change
MetricSourceLowMidHigh% Chg% DeltaChangePrior
Q3 2027 RevenueReported1.32 Bil1.33 Bil1.33 Bil   
Q3 2027 Revenue YoY Growth RateReported37.0%37.5%38.0%   
Q3 2027 Non-GAAP Operating IncomeReported265.00 Mil270.00 Mil275.00 Mil   
Q3 2027 Non-GAAP Operating Income YoY Growth RateReported35.0%37.5%40.0%   
2027 RevenueReported5.03 Bil5.05 Bil5.07 Bil13.2% RaisedGuidance: 4.46 Bil for 2027
2027 Revenue YoY Growth RateReported37.0%37.5%38.0% 16.0%RaisedGuidance: 21.5% for 2027
2027 Non-GAAP Operating IncomeReported940.00 Mil950.00 Mil960.00 Mil13.1% RaisedGuidance: 840.00 Mil for 2027
2027 Non-GAAP Operating Income YoY Growth RateReported48.0%49.5%51.0% 17.0%RaisedGuidance: 32.5% for 2027


Prior: Q1 2027 Earnings Reported 5/27/2026

Forward GuidanceGuidance Change
MetricSourceLowMidHigh% Chg% DeltaChangePrior
Q2 2027 RevenueReported1.09 Bil1.10 Bil1.10 Bil   
Q2 2027 Revenue YoY Growth RateReported27.0%27.5%28.0%   
Q2 2027 Non-GAAP Operating IncomeReported195.00 Mil200.00 Mil205.00 Mil   
Q2 2027 Non-GAAP Operating Income YoY Growth RateReported50.0%54.0%58.0%   
2027 RevenueReported4.41 Bil4.46 Bil4.51 Bil2.5% RaisedGuidance: 4.35 Bil for 2027
2027 Revenue YoY Growth RateReported20.0%21.5%23.0% 3.0%RaisedGuidance: 18.5% for 2027
2027 Non-GAAP Operating IncomeReported820.00 Mil840.00 Mil860.00 Mil5.0% RaisedGuidance: 800.00 Mil for 2027
2027 Non-GAAP Operating Income YoY Growth RateReported29.0%32.5%36.0% 6.5%RaisedGuidance: 26.0% for 2027

Q4 2026 Earnings Reported 2/25/2026

Forward GuidanceGuidance Change
MetricSourceLowMidHigh% Chg% DeltaChangePrior
Q1 2027 RevenueReported990.00 Mil1.00 Bil1.01 Bil-2.9% Lower NewActual: 1.03 Bil for Q4 2026
Q1 2027 Revenue YoY Growth RateReported27.0%28.5%30.0% 11.4%Higher NewActual: 17.05% for Q4 2026
Q1 2027 Non-GAAP Operating IncomeReported125.00 Mil130.00 Mil135.00 Mil-42.2% Lower NewActual: 225.00 Mil for Q4 2026
Q1 2027 Non-GAAP Operating Income YoY Growth RateReported51.0%57.0%63.0% 10.0%Higher NewActual: 46.95% for Q4 2026
2027 RevenueReported4.30 Bil4.35 Bil4.40 Bil19.7% Higher NewActual: 3.63 Bil for 2026
2027 Revenue YoY Growth RateReported17.0%18.5%20.0% 3.8%Higher NewActual: 14.7% for 2026
2027 Non-GAAP Operating IncomeReported780.00 Mil800.00 Mil820.00 Mil26.2% Higher NewActual: 634.00 Mil for 2026
2027 Non-GAAP Operating Income YoY Growth RateReported23.0%26.0%29.0% 12.7%Higher NewActual: 13.3% for 2026

Q3 2026 Earnings Reported 12/2/2025

Forward GuidanceGuidance Change
MetricSourceLowMidHigh% Chg% DeltaChangePrior
Q4 2026 RevenueReported1.02 Bil1.03 Bil1.04 Bil   
Q4 2026 Revenue GrowthReported16.5%17.05%17.6%   
Q4 2026 Operating IncomeReported220.00 Mil225.00 Mil230.00 Mil   
Q4 2026 Non-GAAP Operating Income GrowthReported43.7%46.95%50.2%   
2026 RevenueReported3.63 Bil3.63 Bil3.64 Bil0.6% RaisedGuidance: 3.62 Bil for 2026
2026 Revenue GrowthReported14.5%14.7%14.9% 0.7%RaisedGuidance: 14.0% for 2026
2026 Operating IncomeReported629.00 Mil634.00 Mil639.00 Mil3.1% RaisedGuidance: 615.00 Mil for 2026
2026 Non-GAAP Operating Income GrowthReported12.4%13.3%14.2% 3.4%RaisedGuidance: 9.95% for 2026

Insider Activity

Updated 9/14/2026
Expand for More
#OwnerTitleHoldingActionFiling DatePriceSharesTransacted
Value
Value of
Held Shares
Form
1Colgrove, JohnChief Visionary OfficerTrustSell914202694.95100,0009,494,646234,043,019Form
2Giancarlo, Charles HCEODirectSell914202695.1170,0006,657,577146,428,371Form
3Colgrove, JohnChief Visionary OfficerCRTSell8172026117.4464,815  Form
4Colgrove, JohnChief Visionary OfficerCRTSell8172026117.21100,000  Form
5Colgrove, JohnChief Visionary OfficerCRTSell8132026111.47100,000  Form
Collapse to Preview
#OwnerTitleHoldingActionFiling DatePriceSharesTransacted
Value
Value of
Held Shares
Form
1Colgrove, JohnChief Visionary OfficerTrustSell914202694.95100,0009,494,646234,043,019Form
2Giancarlo, Charles HCEODirectSell914202695.1170,0006,657,577146,428,371Form
3Colgrove, JohnChief Visionary OfficerCRTSell8172026117.4464,815  Form
4Colgrove, JohnChief Visionary OfficerCRTSell8172026117.21100,000  Form
5Colgrove, JohnChief Visionary OfficerCRTSell8132026111.47100,000  Form
6Colgrove, JohnChief Visionary OfficerCRTSell8132026104.39100,000  Form
7Giancarlo, Charles HCEODirectSell812202698.9470,0006,925,759159,252,579Form
8Colgrove, JohnChief Visionary OfficerCRTSell811202695.26100,000  Form
9Colgrove, JohnChief Visionary OfficerTrustSell811202698.70100,0009,870,254248,236,876Form
10Colgrove, JohnChief Visionary OfficerCRTSell811202690.0135,185  Form
11Colgrove, JohnChief Visionary OfficerCRTSell806202685.6689,720  Form
12Colgrove, JohnChief Visionary OfficerTrustSell714202679.82100,0007,982,329204,746,739Form
13Giancarlo, Charles HCEODirectSell713202680.6870,0005,647,773135,514,044Form
14Giancarlo, Charles HCEODirectSell713202680.0565,8005,267,290140,055,240Form
15Taylor, Susan JS DirectSell713202681.748,543698,3057,733,258Form
16Singh, AjayChief Product OfficerDirectSell710202678.129,787764,56026,634,155Form
17Giancarlo, Charles HCEODirectSell702202680.014,200336,042145,249,914Form
18Brown, Andrew William Fraser DirectSell629202672.574,735343,6192,008,955Form
19Yen, Mallun DirectSell624202676.904,735364,1223,328,309Form
20Colgrove, JohnChief Visionary OfficerTrustSell612202671.0499,9007,096,769185,766,288Form
21Colgrove, JohnChief Visionary OfficerTrustSell612202670.001007,000186,543,000Form
22Colgrove, JohnChief Visionary OfficerCRTSell604202685.3210,280  Form
23Colgrove, JohnChief Visionary OfficerCRTSell513202684.04100,000  Form
24Colgrove, JohnChief Visionary OfficerTrustSell513202687.82100,0008,781,933234,038,511Form
25Giancarlo, Charles HCEODirectSell513202687.66580,00050,845,327162,146,889Form
26Colgrove, JohnChief Visionary OfficerTrustSell507202675.3129,1082,192,12335,222,035Form
27Colgrove, JohnChief Visionary OfficerTrustSell507202675.0127,5782,068,62637,265,118Form
28Colgrove, JohnChief Visionary OfficerTrustSell507202675.1277,5795,827,73439,391,426Form
29Colgrove, JohnChief Visionary OfficerTrustSell428202670.0128,935  Form
30Colgrove, JohnChief Visionary OfficerTrustSell423202670.0671,9595,041,3672,027,154Form
31Colgrove, JohnChief Visionary OfficerTrustSell423202670.5082,2665,799,8794,718,456Form
32Colgrove, JohnChief Visionary OfficerTrustSell423202670.0616,8401,179,8106,613,033Form
33Murphy, John Francis DirectSell106202668.894,038278,1781,079,369Form
34Singh, AjayChief Product OfficerDirectSell1223202567.147,178481,93114,441,210Form
35Colgrove, JohnChief Visionary OfficerCRTSell1209202571.31100,000  Form
36Colgrove, JohnChief Visionary OfficerCRTSell1112202591.59100,0009,158,9359,158,935Form
37Colgrove, JohnChief Visionary OfficerCRTSell1016202592.49100,0009,248,93118,497,863Form
38Chu, MonaChief Accounting OfficerDirectSell1001202584.919,091771,9179,115,343Form
39Singh, AjayChief Product OfficerDirectSell926202585.857,014602,15219,686,006Form
40Chu, MonaChief Accounting OfficerDirectSell923202588.085,155454,05210,256,388Form
41Fitzsimons, DanChief Revenue OfficerDirectSell923202587.426,051528,9785,486,392Form
42Colgrove, JohnChief Visionary OfficerCRTSell922202587.33100,0008,733,09426,199,282Form
43Chu, MonaChief Accounting OfficerDirectSell917202584.3912,2991,037,91310,683,774Form
44Singh, AjayChief Product OfficerDirectSell912202582.3818,2801,505,90620,033,580Form
45Taylor, Roxanne DirectSell905202576.933,000230,7901,257,267Form
46Chu, MonaChief Accounting OfficerDirectSell904202576.5117,5001,338,92510,627,162Form

Investor Activity (13F)

Updated Sep 21, 2026
13F holdings as of Mar 31, 2026 (Q1 2026)

Active managers (13F portfolio over $250M, at least 3 holdings) with a position over $5M that is either over 10% of their portfolio or held in a concentrated book of 50 or fewer total positions. Index/ETF, sovereign, bank, community-bank and charitable/donor-advised filers are excluded.

Active ManagerValue% of PortfolioTotal PositionsQoQFiling
Turiya Advisors Asia Ltd$75.2 Mil15.2%5ADD +27.3%13F
UNICOM Systems, Inc.$28.6 Mil2.9%32Hold13F
DSM Capital Partners LLC$69.4 Mil1.2%44New13F
Crosslink Capital Inc$7.8 Mil0.8%21TRIM -72.6%13F
Active ManagerValue% of PortfolioTotal PositionsQoQFiling
DSM Capital Partners LLC$69.4 Mil1.2%44New13F
Turiya Advisors Asia Ltd$75.2 Mil15.2%5ADD +27.3%13F
Active ManagerValue% of PortfolioTotal PositionsQoQAs OfFiling
Atreides Management, LP$279.9 Mil5.9%49ExitedDec 31, 202513F
Crosslink Capital Inc$7.8 Mil0.8%21TRIM -72.6%Mar 31, 202613F
Active ManagerValue% of PortfolioTotal PositionsQoQFiling
Turiya Advisors Asia Ltd$75.2 Mil15.2%5ADD +27.3%13F
DSM Capital Partners LLC$69.4 Mil1.2%44New13F
UNICOM Systems, Inc.$28.6 Mil2.9%32Hold13F
Crosslink Capital Inc$7.8 Mil0.8%21TRIM -72.6%13F
Core Cache Last Updated: 9/20/2026