For risk-takers, this is for you, SAN FRANCISCO Marin Software, a leading provider of digital marketing software for performance-driven advertisers and agencies. by studying the company file we noticed...
Volatility and Risk
Marin Software has a beta of -0.18, meaning that its share price is 118% less volatile than the S&P 500. Comparatively, Marin Software’s competitors have a beta of 1.37, meaning that their average share price is 37% more volatile than the S&P 500. Data from Investing.com
Total Assets 37.01M (31/12/2020) 42.29M (31/12/2019) 46.79M (31/12/2018) 83.37M (31/12/2017) Decreasing rate % from the year before :
-12.48 % 2020 -9.61 % 2019 - 43.87 % 2018 By looking on the cash situation
Cash From Operating Activities -5.67 M -1.24 M -12.98 M -4.87M Cash From Investing Activities -1.88 M 1.61 M -2.71 M -2.52M Cash From Financing Activities 10.23 M 0.26 M -1.29 M -1.45M Net Change in Cash 2.71 M 0.60 M -17.33M -6.88 M
Total Long Term Debt 1.47 M 0.01 M - 1.69M Dept ratio to assets 3.97 % 0.02 % - 2.02 % =========================================
Net Profit margin 5YA -37.01% (for the company) 15.7%( for the industry) Return on Assets 5YA -32.48% 9.13 % Return on Investment 5YA -40.57% 12.97 % =========================================
Price to Sales TTM 2.81 25.31
by looking to shareholders the top holders are
Stockholder Stake Shares owned (data from CNN business)
Susquehanna Financial Group LLLP 2.89% 447,414 Royce & Associates LP 2.80% 432,844 The Vanguard Group, Inc. 1.00% 154,543 Jane Street Capital LLC 0.81% 125,427 Schonfeld Strategic Advisors LLC 0.68% 105,600 Geode Capital Management LLC 0.63% 96,620 Nebula Research & Development LLC 0.41% 62,781 Bridgeway Capital Management LLC 0.39% 60,000 Cutler Group LP 0.35% 53,910 Dimensional Fund Advisors LP 0.34% 52,888
by reviewing the company file we express our opinion as MARIN is a high-risk good stock to buy even we can see the company file is not doing well, we can buy the dip of the company. Position ------------------ Buy limit order at 1$ - 1.5$ ------------------------- Targeting: ------------------------- 22 $ - 23$ as first target 51 $ - 53.5 $ as second target
Investment period from 6 months to 18 months (estimated) We expect +2200% to +5100% return for 18 months
The information and publications are not meant to be, and do not constitute, financial, investment, trading, or other types of advice or recommendations supplied or endorsed by TradingView. Read more in the Terms of Use.