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Model N is a software - application business based in the US. Model N shares (MODN) are listed on the NYSE and all prices are listed in US Dollars. Model N employs 1,089 staff and has a trailing 12-month revenue of around $256.3 million.
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52-week range | $29.67 - $30.00 |
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50-day moving average | $29.82 |
200-day moving average | $26.62 |
Wall St. target price | $30.00 |
PE ratio | 1500 |
Dividend yield | N/A |
Earnings per share (TTM) | $0.02 |
The technical analysis gauge below displays real-time ratings for the timeframes you select. This is not a recommendation, however. It represents a technical analysis based on the most popular technical indicators: Moving Averages, Oscillators and Pivots. Finder might not concur and takes no responsibility.
This chart is not advice or a guarantee of success. Rather, it gauges the real-time recommendations of three popular technical indicators: moving averages, oscillators and pivots. Finder is not responsible for how your stock performs.
Valuing Model N stock is incredibly difficult, and any metric has to be viewed as part of a bigger picture of Model N's overall performance. However, analysts commonly use some key metrics to help gauge the value of a stock.
Model N's current share price divided by its per-share earnings (EPS) over a 12-month period gives a "trailing price/earnings ratio" of roughly 1500x. In other words, Model N shares trade at around 1500x recent earnings.
That's relatively high compared to, say, the trailing 12-month P/E ratio for the NASDAQ 100 at the end of 2019 (27.29). The high P/E ratio could mean that investors are optimistic about the outlook for the shares or simply that they're over-valued.
Model N's "price/earnings-to-growth ratio" can be calculated by dividing its P/E ratio by its growth – to give 1.2045. A low ratio can be interpreted as meaning the shares offer better value, while a higher ratio can be interpreted as meaning the shares offer worse value.
The PEG ratio provides a broader view than just the P/E ratio, as it gives more insight into Model N's future profitability. By accounting for growth, it could also help you if you're comparing the share prices of multiple high-growth companies.
Model N's EBITDA (earnings before interest, taxes, depreciation and amortisation) is $5 million.
The EBITDA is a measure of a Model N's overall financial performance and is widely used to measure a its profitability.
Revenue TTM | $256.3 million |
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Gross profit TTM | $141.2 million |
Return on assets TTM | -0.34% |
Return on equity TTM | 0.23% |
Profit margin | 0.1% |
Book value | $3.48 |
Market Capitalization | $1.2 billion |
TTM: trailing 12 months
We're not expecting Model N to pay a dividend over the next 12 months.
Over the last 12 months, Model N's shares have ranged in value from as little as $29.665 up to $30. A popular way to gauge a stock's volatility is its "beta".
Beta is a measure of a share's volatility in relation to the market. The market (NYSE average) beta is 1, while Model N's is 0.677. This would suggest that Model N's shares are less volatile than average (for this exchange).
Model N, Inc. provides cloud revenue management solutions for life sciences and high-tech companies in the United States and internationally. The company offers Global Pricing Management, which minimizes price erosion of products; Global Tender Management that enhances revenue by enabling segmentation and targeting, optimal bid pricing, and post-award tracking; Provider Management, which minimizes rebate overpayments; Payer Management that minimizes revenue leakage and noncompliance of complex contracts; Government Pricing, which optimizes revenue, and reduces the risk of fines and other penalties; and Medicaid that enhances compliance with regulatory requirements and payments of rebate claims on a timely basis and at correct rates for government Medicaid programs, as well as Validata, State Pricing Transparency Management, Advanced Membership Management, and Intelligence Cloud. It also provides Deal Management, which increases deal conversion and pricing consistency; Deal Intelligence that controls price concessions and determines ideal prices; Channel Management, which provides manufacturers a view of inventory, as well as evaluate price protection and stock rotation, and matching available inventory to quotes; Market Development Fund Management that allows companies to streamline their MDF process and reduce revenue leakage; Rebates Management, which centralizes control of rebate programs; and Channel Data Management that automates the process of collection, cleansing, validation, and standardization of channel partner data, such as POS, inventory, and claims, as well as Payment Management. In addition, the company offers implementation, application, business, strategic, and customer support services. It primarily serves large, mid-sized, and small life sciences and high tech manufactures worldwide through its direct sales force. The company was incorporated in 1999 and is headquartered in San Mateo, California.
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