AMPL

Analizado por ACCE
Amplitude Inc. Class A Common Stock
Technology · Software - Application · NASDAQ · United States
13,20 $-4,42 %
Capitalización 1649 M$Próximos resultados 2026-11-04Actualizado 20 sept 2026
VALOR RAZONABLE · CONSENSO DE 6 MODELOS
13,20 $+0,0 %
ponderado por confianza en 6 modelos
Ahora 13,20 $
13,20 $
2,03 $3,20 $
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Tesis ACCE

Amplitude provides digital analytics software that tracks user behavior across web and mobile applications, helping product teams understand how customers interact with their software. The company dominates the product analytics niche with superior event tracking capabilities and real-time cohort analysis that legacy web analytics tools like Google Analytics can't match. Management expects to reach GAAP profitability by Q4 2024, driven by improving gross retention rates and expansion within existing enterprise accounts. Revenue growth accelerated to 17% in the latest quarter despite macro headwinds, while the company reduced its net loss by 40% year-over-year through disciplined expense management. At 6.2x forward revenue for a profitable SaaS business with 74% gross margins, AMPL trades at a meaningful discount to comparable software companies.

Alertas para el inversor · 5 señales
  • alto
    Severe EPS miss signal
    Q1 2026 EPS surprise of -140.4% is a major negative shock, signalling deteriorating profitability well below consensus expectations.
  • alto
    Elevated debt-to-equity
    Debt/Equity of 4.67 is unusually high for a loss-making SaaS company with -25.8% operating margin, raising refinancing risk.
  • alto
    Deep unprofitability persists
    Operating margin -25.8% and ROE -35.4% with no P/E available; company is burning through equity with no near-term profit visibility.
  • moderado
    Low ACCE quality/momentum
    ACCE score 39/100 with Quality 29 and Momentum 17 signals weak fundamentals and deteriorating price trend vs. peers.
  • moderado
    Revenue growth decelerating
    QoQ growth only +2.3% and 5-year CAGR +13% vs. current +16.9% YoY; sequential deceleration risks missing forward P/E of 47x assumptions.
Presenta resultados en 44 días, el trimestre pasado se quedó un 0,2 % por debajo de las previsiones.

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Precio

+7,3 % · 1Y

Datos clave

Crecimiento52Valor21Calidad47Momentum83Total51
Valoración
PER actual
0.0x
PER estimado
69.4x
PEG
no data
P/B
12.67x
VE / Ingresos
4.3x
Valor contable/acc.
1,09 $
Valor de empresa
1519 M$
Rentabilidad
ROE
-47,9 %
Rentabilidad del FCF
1,71 %
ROIC
-29,3 %
Salud y riesgo
Deuda / patrimonio
0.01
Rentabilidad por dividendo
0,00 %
Beta
1.50