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RAMP LiveRamp Holdings, Inc.

New York Stock Exchange · Software - Infrastructure · Technology

$37.85
-0.07 (-0.18%)

LiveRamp Holdings, Inc. operates as a technology enterprise, delivering sophisticated enterprise data connectivity solutions throughout the United States, Europe, and the Asia-Pacific region. Its product portfolio includes: RampID: A fundamental identifier focused on individuals. Safe Haven: A robust platform designed to empower businesses with data utilization. LiveRamp Data Marketplace: A key to…

Market Cap: $2.30Bwww.liveramp.com

Price (90d)

No price history yet — the daily price refresh runs once a day.

Signal Score (90d)

100
100
Aug 13Aug 13

Quote

Day Range
$37.82 – $37.97
52-Week Range
$21.71 – $38.23
Volume
$874.8K
Market Cap
$2.30B
50-Day Avg
$37.71
200-Day Avg
$30.81
Prev Close
$37.92
Open
$37.90

Valuation & Ratios

P/E Ratio
11.53
EPS
$2.34
P/B Ratio
1.70
P/S Ratio
2.04
Debt/Equity
0.03
Current Ratio
2.47
Dividend Yield
+0.0%
Gross Margin
+70.7%

Returns & Efficiency

Return on Equity
+15.0%
Return on Assets
+11.3%
FCF Yield
+10.1%
EV/EBITDA
11.70

Revenue & Net Income (Annual)

Fiscal YearRevenueNet IncomeEPS
2026$812.94M$145.95M$2.30
2025$745.58M$-814.0K$-0.01
2024$659.66M$11.88M$0.18
2023$596.58M$-118.70M$-1.79
2022$528.66M$-33.83M$-0.50

Social Signal Score

50
5d
50
1 mentions
30d
50
1 mentions
60d
50
1 mentions
90d
50
1 mentions
news: 1

Earnings

Wed, Nov 4(in 3 months)

Consensus estimate $0.70 per share

7of 7 quarters beat consensus

Typical surprise +10.1% (median, so one quarter with a near-zero estimate can't distort it)

  • Wed, Aug 5$0.65 vs $0.58beat
  • Sun, May 17$0.52 vs $0.49beat
  • Thu, Feb 5$0.76 vs $0.69beat
  • Wed, Nov 5$0.55 vs $0.48beat
  • Wed, Aug 6$0.44 vs $0.43beat
  • Wed, May 21$0.30 vs $0.28beat

Estimates and results for RAMP via Financial Modeling Prep. Beating consensus says the company cleared the bar analysts set, not that the business grew.

Valuation

Project earnings forward and see what return today's price implies.

EPS was negative in at least one boundary year, so a compound growth rate can't be computed from it. Set your own assumption.

EPS in 5 years
$3.44
Implied price
$41.25
Return from $37.85
1.7% a year

To earn 15.0% a year on these assumptions you'd need to buy at $20.51 -45.8% below today's price.

How sensitive is that answer?

Annual return across nearby assumptions. If the result is only attractive in one corner, that is the finding.

growth \ P/E810121416
-2.0%-14.9%-11.0%-7.7%-4.8%-2.2%
3.0%-10.5%-6.4%-3.0%0.1%2.8%
8.0%-6.2%-1.9%1.7%4.9%7.8%
13.0%-1.8%2.6%6.4%9.8%12.8%
18.0%2.5%7.2%11.2%14.6%17.7%

This is arithmetic on assumptions you chose, not a forecast or a recommendation. It ignores dividends, buybacks, share issuance and debt, and it assumes a company still earning money in 5 years. Change any input and the answer changes a lot — that sensitivity is the honest result, not a flaw in the model.

Mentions (1)

  • Newsprnewswire.com·1d ago·Neutral

    ORVANA ANNOUNCES Q3 FY2026 RESULTS & AUGUST COMMERCIAL PRODUCTION RAMP-UP IN BOLIVIA TSX:ORV TORONTO, Aug. 13, 2026 /PRNewswire/ -- Orvana Minerals Corp. (TSX: ORV) (OTCQX: ORVMF) (the "Company" or "Orvana") provides updates on the Oxides Stockpile Project at its Don Mario operation in Bolivia, and reports results for the quarter ended June 30, 2026 ("Q3 FY2026"). "We are very excited that our new Bolivian Copper Cathodes Circuit, and our revamped Gold-Silver Dore Circuit, have entered the comme…

    View source ↗