KLTR Stock Snapshot Price, market cap, P/E, EPS, ROE, debt/equity, 52-week range

03
Price $1.31
Market Cap (MRQ) $199M
P/E (TTM) -6.5
EPS (TTM) $-0.20
Revenue (TTM) $181M
ROE (TTM) -134.2%
Debt/Equity (MRQ) 15.7
52W Range $1–$2

KLTR Stock Price Chart Daily OHLCV with technical indicators — pan, zoom, and customize your view

04
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About Kaltura, Inc. - Common Stock Company overview from Wikipedia

05 · wikidata

Kaltura, Inc. is a software company legally headquartered in New York, with its primary research and development, operational hub, and engineering core located in Ramat Gan, Israel. It was founded in 2006. It operates in several major markets: webinars and virtual events, enterprise video content management and online video platform (OVP), educational technology (virtual classroom), and Cloud TV software; and offers products such as a video portal, an LMS and CMS (course management system) extension, a virtual event and webinar platform, and a TV streaming app.

History

Kaltura was founded in Israel in the fall of 2006 and was launched at the TechCrunch40 industry event in San Francisco on September 18, 2007. At that time, the company had 20 employees, and had received $2.1 million in funding from business angels and Californian VC fund Avalon Ventures.

In 2007, Kaltura began a partnership with the New York Public Library, whose team was headed by Joshua Greenberg, to enhance online rich media in the library's digital collection.

In January 2008, the Wikimedia Foundation and Kaltura announced that they had begun a collaboration aimed at bringing rich-media to Wikipedia and other wiki websites. The technology behind this project is a form of video-wiki software (of open source purport) that was integrated into the MediaWiki platform as an extension, allowing users to add collaborative video players that enable all users to add and edit images, sounds, diagrams, animations and movies in the same manner as they do today with text.

Kaltura was a sponsor of the Wikimania 2008 event, where it announced that it is sponsoring Michael Dale, a video developer, to support the further development of a 100% open source video editing solution integrated into MediaWiki. Kaltura is also a founder of the Open Video Alliance, a group of organizations, academics, artists and entrepreneurs, geared towards promoting open standards for video on the web.

Apart from serving educational institutes like Harvard, Yale, NYU, and others, Kaltura also helps media companies and telcos like Vodafone, Watch Brasil, and Bouygues Telecom, as well as enterprises like Oracle, SAP, Intel, Bank of America, and AT&T.

From 2010-present

In July 2011, Blackboard Inc. and Kaltura announced a partnership to integrate Kaltura's media solution in Blackboard Learn (TM) in a bid to offer rich media tools to educational institutions.

In May 2014, Kaltura purchased pay TV service Tvinci to widen its scope of video solutions to include over-the-top (OTT) TV capabilities. In August 2016, Kaltura announced that it had raised $50 million from Goldman Sachs. Also in 2016, Kaltura partnered with Inception, 24i Media, Encompass and Harmonic to showcase OTT experiences. In 2019, Kaltura crossed $100 million in annual recurring revenues (ARR).

Kaltura' solutions and APIs all rest on their proprietary online video platform, offering advanced video management, publishing, and monetization capabilities as well as tools for internal knowledge sharing, learning, training, collaboration, and marketing. Kaltura built use-case-centric applications for business, media, and education to facilitate the integration of video into specific workflows, from an open, API-focused architecture. The company reportedly had a community of 160,000 registered developers (2018).

In April 2019, Kaltura announced its intention to develop Cloud TV with Dativa through a dedicated data lake.

In early 2020 Kaltura announced its acquisition of Newrow, a platform for collaborative online meetings. The integration of Newrow's real-time communication capabilities into Kaltura's video asset management and live broadcast/webcast technology paved the way for a single comprehensive solution to power customers' multiple video needs.

In July 2021, Kaltura launched a $150 million IPO, listing on the Nasdaq under the symbol KLTR. In the 12 months leading up to the IPO, Kaltura booked $132 million in revenue.

In May 2022, Kaltura officially launched Kaltura Events, a virtual events platform with modules for event creation and management, as well as event performance measurement (analytics), and event management automation features.

In 2023, Kaltura started integrating generative AI capabilities into its digital experience solutions to enrich content, search and discovery, interactivity, and analytics.

In 2024, they announced the release of Class Genie, an AI-powered agent that creates hyper-personalized learning experiences for students, based on their individual preferences, engagement patterns, and past interactions, and drawing exclusively from their institution's trusted knowledge base. At the annual content and technology convention IBC 2024 Kaltura introduced their new Generative AI capabilities for streaming services, enabling the production of high-quality content at lower costs.

Kaltura currently has offices in Israel, Singapore, the United Kingdom, and the United States.

== References ==

Source: Wikipedia, CC BY-SA 4.0 · View on Wikipedia ↗

Wikidata ↗

sectorTechnology industryTechnology employees494 countryUS

10-Year Performance Revenue, net income, margins and EPS trends

06
Revenue$181M
2019-12-31 → 2025-12-31
EPS$-0.08
2023-12-31 → 2025-12-31
Free Cash Flow$14M
2021-12-31 → 2025-12-31
Net margin-6.9%
2021-12-31 → 2025-12-31
Valuation & Ratios 07–12

Valuation P/E, P/S, P/B, EV/EBITDA ratios — is the stock expensive or cheap?

Metric 5Y trend KLTR 5Y avg Peer Median Verdict
P/E (TTM) -6.55Y avg ≈-6.3 ≈-6.3 · ·
P/S (TTM) 1.15Y avg ≈1.8 ≈1.8 4.6 Undervalued
P/B (MRQ) 117.55Y avg ≈14.3 ≈14.3 2.7 Overvalued
EV / EBITDA (TTM) 82.85Y avg ≈-102.7 ≈-102.7 · ·
Price / FCF (TTM) 17.75Y avg ≈-0.4 ≈-0.4 · ·
Price / Cash Flow (TTM) 17.15Y avg ≈-2.8 ≈-2.8 16.7 Fair value
EV / Revenue (TTM) 1.15Y avg ≈1.4 ≈1.4 · ·
EV / FCF (TTM) 17.35Y avg ≈0.1 ≈0.1 · ·
Price / Tangible Book (MRQ) -24.25Y avg ≈13.5 ≈13.5 · ·

Peer median is calculated on a standardized basis per metric and may not always match the TTM/MRQ basis shown for this stock.

value · ≈ 5Y avg · industry median · verdict relative to median

Earnings History EPS actual vs estimate, surprise %, beat rate, next earnings date

14
Avg Surprise 198.0%
Next Report Nov 09, 2026
PeriodReportEPS ActualEPS EstSurprise
June 30, 2026 Aug 5, 2026 $0.01 $-0.01 198.0%
March 31, 2026 May 6, 2026 $0.01 $0.00 —
Dec. 31, 2025 $0.03 $0.00 —
Sept. 30, 2025 $0.01 $-0.01 —
June 30, 2025 $0.01 $-0.01 —
March 31, 2025 $0.02 $-0.00 —

Full Fundamentals All metrics by year — income statement, balance sheet, cash flow

15
Income Statement 17
Metric Trend 2025202420232022202120202019
Revenue $181M$179M$175M$169M$165M$120M$97M
Cost of Revenue $53M$60M$63M$62M$62M$48M$36M
Gross Profit $128M$119M$112M$107M$103M$73M$62M
R&D Expense $46M$49M$52M$57M$48M$30M$24M
SG&A Expense $41M$46M$49M$45M$39M$22M$15M
Operating Expenses $133M$143M$151M$163M$135M$81M$65M
Operating Income $-5M$-24M$-39M$-56M$-33M$-8M$-3M
Interest Expense ··$3M$2M$3M$4M$4M
Other Non-op $-4M$434.0K$1M$-4M$-20M$-47M$-11M
Pretax Income $-9M$-24M$-37M$-61M$-53M$-55M$-14M
Income Tax $3M$8M$9M$8M$7M$4M$2M
Net Income $-12M$-31M$-46M$-68M$-59M$-59M$-16M
EPS (Basic) $-0.08$-0.21$-0.34$-0.53$-0.95$-2.83·
EPS (Diluted) $-0.08$-0.21$-0.34····
Shares (Basic) 152,914,221147,925,797138,237,017130,366,38571,073,05224,939,901·
Shares (Diluted) 152,914,221147,925,797138,237,017····
EBITDA $-460.0K$-19M$-34M$-54M$-30M··
Balance Sheet 29
Metric Trend 2025202420232022202120202019
Cash & Equivalents $28M$33M$37M$45M$144M$28M$27M
Short-term Investments $24M$48M$33M$41M$0··
Receivables $16M$20M$23M$29M$18M$17M·
Prepaid Expense $14M$9M$8M$8M$5M$3M·
Other Current Assets $1M$929.0K$1M$1M$676.0K$56.0K·
Current Assets $91M$122M$112M$133M$176M$53M·
PP&E (Net) $12M$16M$20M$15M$10M$4M·
PP&E (Gross) $25M$25M$27M$19M$12M$7M·
Accum. Depreciation $13M$9M$7M$4M$3M$3M·
Goodwill $25M$11M$11M$11M$11M$11M$9M
Intangibles $2M$212.0K$689.0K$1M$2M$3M·
Other Non-current Assets $4M$3M$3M$3M$3M$4M·
Total Assets $165M$181M$184M$206M$223M$91M·
Accounts Payable ·$3M$4M$9M$6M$5M·
Accrued Liabilities $3M$6M$4M$7M$7M$5M·
Current Liabilities $126M$102M$100M$109M$98M$83M·
Capital Leases $14M$15M$18M$21M$0$142.0K·
Other Non-current Liabilities $15M$11M$2M$2M$2M$3M·
Total Liabilities $158M$157M$153M$163M$138M$191M·
Long-term Debt $29M$32M$35M$36M$39M$48M·
Total Debt $29M$32M$35M$36M$39M··
Common Stock ·····$2.0K·
Paid-in Capital $518M$500M$472M$440M$413M··
Retained Earnings $-481M$-469M$-437M$-391M$-323M$-263M·
Treasury Stock $34M$8M$5M$5M$5M$5M·
AOCI $3M$959.0K$1M$-301.0K$0··
Stockholders' Equity $6M$24M$30M$43M$85M$-261M$-210M
Liabilities + Equity $165M$181M$184M$206M$223M$91M·
Shares Outstanding 147,754,918152,057,148142,588,917134,564,429126,925,10425,467,92222,959,969
Cash Flow 16
Metric Trend 2025202420232022202120202019
D&A $5M$5M$5M$3M$2M$8M$4M
Stock-based Comp $16M$26M$30M$24M$17M$5M$2M
Deferred Tax $45.0K$45.0K$418.0K$0$0··
Amort. of Intangibles $184.0K$477.0K$555.0K$665.0K$1M$917.0K$630.0K
Restructuring $903.0K$0$973.0K····
Other Non-cash $6M$12M$3M$-5M$18M··
Operating Cash Flow $15M$12M$-8M$-47M$-22M$6M$370.0K
CapEx $661.0K$521.0K$3M$1M$2M$1M$2M
Investing Cash Flow $9M$-12M$-2M$-50M$-5M$-3M$-3M
Stock Repurchased $26M$3M$0$0···
Net Stock Activity $-26M$-3M·····
Financing Cash Flow $-30M$-4M$109.0K$-529.0K$143M$-2M$300.0K
Net Change in Cash $-6M$-4M$-9M$-99M$116M$1M$-2M
Taxes Paid $2M$4M$4M$9M$3M$1M·
Free Cash Flow $14M$12M$-11M$-48M$-24M··
Levered FCF ··$-15M$-51M$-27M··
Profitability 8
Metric Trend 2025202420232022202120202019
Gross Margin 70.6%66.6%64.1%63.3%62.2%··
Operating Margin -2.7%-13.5%-22.1%-33.4%-19.8%··
Net Margin -6.7%-17.5%-26.5%-40.6%-36.0%··
Pretax Margin -5.0%-13.2%-21.4%-35.9%-32.0%··
EBITDA Margin -0.25%-10.7%-19.4%-31.8%-18.3%··
ROA -7.0%-17.2%-23.8%-31.9%-37.8%··
ROE -103.7%-129.1%-148.4%-144.4%-65.4%··
ROIC -18.8%-56.3%-73.6%-80.5%-29.7%··
Liquidity & Solvency 5
Metric Trend 2025202420232022202120202019
Current Ratio 0.71.21.11.21.8··
Quick Ratio 0.51.00.91.11.6··
Debt / Equity 4.61.31.10.80.5··
LT Debt / Equity 0.01.21.10.70.4··
Interest Coverage ··-12.2-24.5-11.0··
Efficiency 2
Metric Trend 2025202420232022202120202019
Asset Turnover 1.01.00.90.81.1··
Receivables Turnover 10.08.36.77.39.5··
Per Share 5
Metric Trend 2025202420232022202120202019
Book Value / Share $0.04$0.16$0.21$0.32$0.67··
Revenue / Share $1.18······
Cash Flow / Share $0.10······
Cash / Share $0.19$0.22$0.26$0.33$1.13··
EPS (TTM) $-0.08$-0.21$-0.34$0.15···
Growth Rates 3
Metric Trend 2025202420232022202120202019
Revenue YoY 1.2%2.0%3.8%2.3%37.0%··
Revenue CAGR 3Y 2.3%2.7%13.3%····
Revenue CAGR 5Y 8.5%······
Valuation (TTM) 14
Metric Trend 2025202420232022202120202019
Revenue TTM $181M$179M$175M$169M$165M··
Net Income TTM $-12M$-31M$-46M$-68M$-59M··
Market Cap $242M$335M$278M$231M$428M··
Enterprise Value $219M$285M$243M$181M$322M··
P/E -20.5-10.5-5.711.5···
P/S 1.31.91.61.42.6··
P/B 38.313.79.25.35.0··
P / Tangible Book ·25.515.07.55.9··
P / Cash Flow 16.727.3-33.5-4.9-19.3··
P / FCF 17.528.6-25.5-4.8-17.8··
EV / EBITDA -477.1-15.0-7.2-3.4-10.7··
EV / FCF 15.824.4-22.3-3.8-13.4··
EV / Revenue 1.21.61.41.12.0··
Earnings Yield -4.9%-9.6%-17.4%8.7%···

Most recent period on the left · null values shown as ·

Financial Statements Income statement, balance sheet, cash flow — annual, last 5 years

16
Metric 2025-12-312024-12-312023-12-312022-12-312021-12-31
Revenue $181M $179M $175M $169M $165M
Gross Margin % 70.6% 66.6% 64.1% 63.3% 62.2%
Operating Margin % -2.7% -13.5% -22.1% -33.4% -19.8%
Net Income $-12M $-31M $-46M $-68M $-59M
Diluted EPS $-0.08 $-0.21 $-0.34 · ·

Institutional owners (13F) 107 filers · $74.6M total · As of June 30, 2026

17

Institutions that report holding this stock in their quarterly SEC Form 13F. Long positions only; a single filer may appear twice for separate option legs. Large offsetting put/call legs typically reflect market-making or hedged inventory, not directional conviction.

Holders 107
Value held $74.6M
New positions 17
Exited positions 13
Institutional activity — Q2 2026 vs prior quarter
New positions Exited positions Increased Decreased Net shares change
17 (-6 vs prior Q) 13 (-7 vs prior Q) 47 (+20 vs prior Q) 19 (-13 vs prior Q) +2.5M

Compared to Q1 2026. SEC Form 13F filings are due within 45 days of quarter-end plus a short buffer for late filers — quarters still inside that window are skipped in favor of the most recent fully-reported pair.

Institution Value Shares % of tracked 13F Type
AVALON VENTURES MANAGEMENT, LLC $12,906,298 8,962,707 17.29% Shares
SAPPHIRE VENTURES, L.P. $10,374,384 7,980,295 13.90% Shares
VANGUARD GROUP INC $8,451,167 5,153,150 11.32% Shares
BlackRock, Inc. $7,791,508 5,993,468 10.44% Shares
VANGUARD CAPITAL MANAGEMENT LLC $4,886,470 3,758,823 6.55% Shares
GAGNON SECURITIES LLC $4,247,099 3,266,999 5.69% Shares
GEODE CAPITAL MANAGEMENT, LLC $2,983,182 2,294,375 4.00% Shares
S SQUARED TECHNOLOGY, LLC $2,525,645 1,942,804 3.38% Shares
STATE STREET CORP $2,096,927 1,613,021 2.81% Shares
Gagnon Advisors, LLC $1,836,913 1,413,010 2.46% Shares
Russell Investments Group, Ltd. $1,651,665 1,270,513 2.21% Shares
ARROWSTREET CAPITAL, LIMITED PARTNERSHIP $1,140,070 876,977 1.53% Shares
VANGUARD PORTFOLIO MANAGEMENT LLC $1,129,070 868,515 1.51% Shares
CHARLES SCHWAB INVESTMENT MANAGEMENT INC $943,917 726,090 1.26% Shares
NORTHERN TRUST CORP $941,600 724,308 1.26% Shares
RENAISSANCE TECHNOLOGIES LLC $919,360 707,200 1.23% Shares
VANGUARD FIDUCIARY TRUST CO $810,147 623,190 1.09% Shares
AQR CAPITAL MANAGEMENT LLC $800,155 615,505 1.07% Shares
JACOBS LEVY EQUITY MANAGEMENT, INC $716,606 551,235 0.96% Shares
GLOBEFLEX CAPITAL L P $675,575 519,673 0.91% Shares
MORGAN STANLEY $674,436 518,797 0.90% Shares
Maniro Ltd $590,762 454,432 0.79% Shares
BRIDGEWAY CAPITAL MANAGEMENT, LLC $454,740 349,800 0.61% Shares
Arax Advisory Partners $430,322 331,017 0.58% Shares
TOCQUEVILLE ASSET MANAGEMENT L.P. $362,684 278,988 0.49% Shares
Bank of New York Mellon Corp $358,134 275,488 0.48% Shares
UBS Group AG $271,104 208,542 0.36% Shares
Boston Partners $267,470 205,746 0.36% Shares
GOLDMAN SACHS GROUP INC $208,520 160,400 0.28% Shares
Squarepoint Ops LLC $204,454 157,272 0.27% Shares
BANK OF AMERICA CORP /DE/ $196,710 151,315 0.26% Shares
BARCLAYS PLC $154,462 118,817 0.21% Shares
Nuveen, LLC $152,161 117,047 0.20% Shares
Teton Advisors, LLC $130,000 100,000 0.17% Shares
MILLENNIUM MANAGEMENT LLC $126,970 97,669 0.17% Shares
IEQ CAPITAL, LLC $125,717 96,705 0.17% Shares
LAZARD ASSET MANAGEMENT LLC $113,369 87,207 0.15% Shares
State of Wyoming $108,620 83,554 0.15% Shares
WELLS FARGO & COMPANY/MN $108,508 83,468 0.15% Shares
CITADEL ADVISORS LLC $104,631 80,485 0.14% Shares
DEUTSCHE BANK AG\ $94,252 72,501 0.13% Shares
RHUMBLINE ADVISERS $78,325 60,252 0.10% Shares
INTREPID FAMILY OFFICE LLC $69,030 53,100 0.09% Shares
FMR LLC $65,087 50,067 0.09% Shares
JPMORGAN CHASE & CO $65,015 51,599 0.09% Shares
FIRST MANHATTAN CO. LLC. $65,000 50,000 0.09% Shares
Invesco Ltd. $64,615 49,704 0.09% Shares
CITIGROUP INC $59,527 45,790 0.08% Shares
PANAGORA ASSET MANAGEMENT INC $58,713 45,164 0.08% Shares
MACKENZIE FINANCIAL CORP $55,570 42,746 0.07% Shares

Show all 107 institutional owners →

Activists & 5%+ owners 1 position

18

Investors who filed SEC Schedule 13D — beneficial ownership above 5% with an intent to influence the issuer (activist stakes, board campaigns, M&A). Each row shows the most recent known state of that filer's position.

Filer Filed Stake Status Purpose Filing
Classroom Aggregator, LLC, K5 Private Investors, L.P. ×3 filings May 9, 2024 · Initial filing · SEC

Purpose is an automated classification of the filer's own stated purpose (SEC Item 4) — not investment advice. "—" means no clear purpose was stated or the text could not be classified.

Company insiders 15 insiders · 8 officers · 8 directors

19
Insider Role Last activity Shares owned Buys 12m Sells 12m Net 12m
Ron Yekutiel Chief Executive Officer March 24, 2026 P 15,095,748 4 0 $198,423
John N. Doherty Chief Financial Officer Oct. 6, 2025 S 1,423,180 0 1 $-28,242
Yaron Garmazi Chief Financial Officer Feb. 14, 2024 A 1,057,320 0 0 $0
Michal Tsur President & Chief Marketing Officer Feb. 5, 2023 A 5,099,010 0 0 $0
Eynav Azaria Officer Sept. 18, 2026 S 1,981,537 0 37 $-634,377
Natan Israeli Chief Customer Officer Aug. 5, 2026 S 1,809,537 0 22 $-759,016
Claire Rotshten EVP of Finance March 23, 2026 P 1,039,973 1 0 $12,900
Liron Netanela Serero Officer March 23, 2026 P 686,789 1 0 $6,400
Eyal Manor Director Aug. 28, 2026 S 248,972 0 9 $-440,785
Gregory C. Dracon Director June 24, 2026 A 178,658 1 0 $9,999
Shay David Director June 24, 2026 A 1,579,926 1 0 $9,680
Richard Levandov Director June 24, 2026 A 623,039 1 0 $48,800
Naama Halevi-Davidov Director June 24, 2026 A 340,095 0 3 $-308,572
Ronen Faier Director June 24, 2026 A 583,039 0 0 $0
Narendra Gupta Director July 23, 2021 C 16,053,857 0 0 $0

Insiders from SEC Form 3/4/5 filings; net = open-market P/S only

ETF ownership Held by 9 ETFs

20

Weight reflects direct equity holdings (N-PORT) only; leveraged or derivative-based funds may hold additional swap exposure not shown.

Fund Weight Units As of Source
IWC · iShares Trust 0.03% 304,897 SH Sept. 11, 2026 Daily
VTWG · VANGUARD SCOTTSDALE FUNDS 0.01% 94,563 SH Aug. 19, 2026 Daily
IWO · iShares Trust 0.01% 859,291 SH Sept. 11, 2026 Daily
IWM · iShares Trust 0.00% 2,253,798 SH Sept. 11, 2026 Daily
RSSL · Global X Funds 0.00% 43,705 NS July 31, 2026 N-PORT
VXF · VANGUARD INDEX FUNDS 0.00% 1,016,497 SH Aug. 19, 2026 Daily
VTI · VANGUARD INDEX FUNDS 0.00% 2,641,043 SH Aug. 19, 2026 Daily
VTWO · VANGUARD SCOTTSDALE FUNDS 0.00% 522,535 SH Aug. 19, 2026 Daily
VTHR · VANGUARD SCOTTSDALE FUNDS 0.00% 8,750 SH Aug. 19, 2026 Daily

KLTR Analyst Consensus Bullish and bearish analyst opinions, 12-month price target, upside

21
rating · 8 analysts BUY
Median target $3.50 +167.2%
2 25.0% Strong Buy
5 62.5% Buy
1 12.5% Hold
0 0.0% Sell
0 0.0% Strong Sell

12-Month Price Target

2 analysts · 2026-09-28

Mean target $3.50 +167.2%

← Below all targets Current price $1.31
Low$3.00 Mean$3.50 High$4.00

Peer comparison (GICS sub-industry) Key metrics vs sector peers

22

FY basis, prices as of each company's last fiscal year-end close.

Ticker Market Cap P/E Rev YoY Net Margin ROE Gross Margin
KLTR $242M -20.5 1.2% -6.7% -103.7% 70.6%
BLND $778M -30.4 6.8% -5.5% 31.0% 73.8%
QMLS · · · · · ·
EXFY $141M -6.6 2.1% -15.0% -16.2% 50.3%
TONX $112M -0.3 1327.8% -1161.9% -70.2% ·
EGAN $165M 19.7 3.1% 9.7% 10.3% 73.4%
PLTR $425.03B 282.1 56.2% 36.3% 26.2% 82.4%

My Metrics Your personal watchlist — selected rows from Full Fundamentals

26

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Source: SEC 10-Q filed Aug 5, 2026