CCC Instantánea de la Acción
Precio, capitalización bursátil, P/E, BPA, ROE, deuda/capital, rango de 52 semanas
03
Precio$6.56
Capitalización Bursátil (MRQ)$3.86B
P/E (TTM)82.0
BPA (TTM)$0.08
Ingresos (TTM)$1.11B
ROE (TTM)2.2%
Deuda/Capital (MRQ)0.7
Rango 52S$4–$10
CCC Gráfico del Precio de la Acción
OHLCV diario con indicadores técnicos — desplace, amplíe y personalice su vista
04
rango
barras
La granularidad de las barras se adapta al período seleccionado; pase el ratón sobre el gráfico para ver la apertura/máximo/mínimo/cierre de una barra.
Rendimiento a 10 años
Tendencias de ingresos, beneficio neto, márgenes y BPA
06
Ingresos$1.06B2019-12-31 → 2025-12-31
BPA$0.002020-12-31 → 2025-12-31
Flujo de caja libre$255M2021-12-31 → 2025-12-31
Margen neto3.8%2021-12-31 → 2025-12-31
Valoración y ratios07–12
Valoración
Ratios P/E, P/S, P/B, EV/EBITDA: ¿está la acción cara o barata?
Métrica
Tendencia a 5 años
CCC
promedio 5A
Mediana de Pares
Veredicto
P/E (TTM)
82.0promedio 5A ≈84.4
≈84.4
46.4
Sobrevalorado
P/S (TTM)
3.5promedio 5A ≈7.5
≈7.5
3.5
Infravalorado
P/C (MRQ)
2.2promedio 5A ≈3.3
≈3.3
3.4
Infravalorado
EV / EBITDA
33.7promedio 5A ≈137.4
≈137.4
·
·
Precio / FCF (TTM)
12.5promedio 5A ≈39.9
≈39.9
·
·
Precio / Flujo de Caja (TTM)
10.3promedio 5A ≈30.1
≈30.1
15.3
Valor razonable
EV / Revenue (EV / Ingresos)
4.9promedio 5A ≈8.2
≈8.2
·
·
EV / FCF
20.2promedio 5A ≈43.7
≈43.7
·
·
Precio / Valor Contable Tangible (MRQ)
4.8
·
·
·
La mediana de empresas comparables se calcula sobre una base estandarizada por métrica y puede no coincidir siempre con la base TTM/MRQ que se muestra para esta acción.
Rentabilidad
Márgenes brutos, operativos y netos; ROE, ROA, ROIC
Métrica
Tendencia a 5 años
CCC
promedio 5A
Mediana de Pares
Veredicto
Margen Bruto (TTM)
73.5%promedio 5A ≈73.3%
≈73.3%
79.1%
Débil
Margen Operativo (TTM)
15.9%promedio 5A ≈0.04%
≈0.04%
10.2%
De primer nivel
Margen EBITDA (TTM)
21.1%promedio 5A ≈4.3%
≈4.3%
10.2%
De primer nivel
Margen antes de impuestos (TTM)
9.9%promedio 5A ≈-7.3%
≈-7.3%
9.0%
De primer nivel
Margen de Beneficio Neto (TTM)
3.8%promedio 5A ≈-7.6%
≈-7.6%
6.0%
De primer nivel
ROA (TTM)
1.2%promedio 5A ≈-1.7%
≈-1.7%
4.0%
Débil
ROE (TTM)
2.2%promedio 5A ≈-2.9%
≈-2.9%
0.09%
En línea
ROIC
0.24%promedio 5A ≈-0.45%
≈-0.45%
5.7%
Débil
Salud financiera
Deuda, liquidez, solvencia — solidez del balance general
Métrica
Tendencia a 5 años
CCC
promedio 5A
Mediana de Pares
Veredicto
Deuda / Patrimonio (MRQ)
0.7promedio 5A ≈0.5
≈0.5
0.6
Deuda alta
Ratio corriente (MRQ)
1.6promedio 5A ≈2.6
≈2.6
1.6
En línea
Quick Ratio (Ratio Rápido)
1.1promedio 5A ≈2.2
≈2.2
0.9
Liquidez sólida
Deuda a Largo Plazo / Patrimonio (MRQ)
0.7promedio 5A ≈0.5
≈0.5
0.6
Deuda alta
Interest Coverage (Cobertura de Intereses)
1.3promedio 5A ≈0.2
≈0.2
7.8
Baja liquidez
Crecimiento
Crecimiento de ingresos, BPA y beneficio neto: interanual, CAGR a 3 años, CAGR a 5 años
Métrica
Tendencia a 5 años
CCC
promedio 5A
Mediana de Pares
Veredicto
Revenue YoY (Ingresos interanuales)
11.9%promedio 5A ≈10.8%
≈10.8%
·
·
Revenue CAGR 3Y (Ingresos CAGR 3A)
10.5%promedio 5A ≈10.9%
≈10.9%
·
·
Revenue CAGR 5Y (Ingresos CAGR 5A)
10.8%
·
·
·
Net Income YoY (Beneficio Neto interanual)
-94.6%
·
·
·
Net Income CAGR 3Y (CAGR Beneficio Neto 3A)
-64.7%
·
·
·
Métricas por acción
BPA, valor contable por acción, flujo de caja por acción, dividendo por acción
Métrica
Tendencia a 5 años
CCC
promedio 5A
Mediana de Pares
Veredicto
EPS (Diluted) (BPA (Diluido))
$0.00promedio 5A ≈$-0.10
≈$-0.10
·
·
Revenue / Share (Ingresos / Acción)
$1.60promedio 5A ≈$1.42
≈$1.42
·
·
Cash Flow / Share (Flujo de Caja / Acción)
$0.48promedio 5A ≈$0.41
≈$0.41
·
·
Cash / Share (Efectivo / Acción)
$0.18promedio 5A ≈$0.39
≈$0.39
·
·
Eficiencia de capital
Rotación de activos, rotación de inventario, rotación de cuentas por cobrar
Métrica
Tendencia a 5 años
CCC
promedio 5A
Mediana de Pares
Veredicto
Asset Turnover (Rotación de Activos)
0.3promedio 5A ≈0.3
≈0.3
0.6
Débil
Receivables Turnover (Rotación de Cuentas por Cobrar)
8.7promedio 5A ≈8.8
≈8.8
7.9
En línea
Revenue / Employee (Ingresos / Empleado)
≈$483.8K
·
·
·
valor · ≈ promedio 5A · mediana sectorial · veredicto relativo a la mediana
Historial de Ganancias
EPS real vs estimado, sorpresa %, tasa de aciertos, próxima fecha de resultados
14
Sorpresa Media3.6%
Próximo informeOct 28, 2026
Período
Informe
EPS Actual
EPS est.
Sorpresa
30 de junio de 2026
Jul 29, 2026
$0.10
$0.10
1.2%
31 de marzo de 2026
$0.11
$0.10
14.9%
31 de diciembre de 2025
$0.10
$0.10
4.4%
30 de septiembre de 2025
$0.09
$0.09
-2.5%
30 de junio de 2025
$0.09
$0.08
6.9%
31 de marzo de 2025
$0.08
$0.08
-3.1%
Fundamentales Completos
Todas las métricas por año — estado de resultados, balance general, flujo de caja
15
Estado de resultados18
Métrica
Tendencia
2025
2024
2023
2022
2021
2020
2019
Revenue
$1.06B
$945M
$866M
$782M
$688M
$633M
$616M
Cost of Revenue
$280M
$231M
$230M
$214M
$196M
$209M
$226M
Gross Profit
$777M
$714M
$636M
$569M
$493M
$424M
$390M
R&D Expense
$227M
$201M
$173M
$157M
$166M
$110M
$114M
SG&A Expense
$207M
$218M
$192M
$168M
$250M
$91M
$78M
Operating Expenses
$683M
$634M
$660M
$517M
$637M
$347M
$557M
Operating Income
$94M
$80M
$-24M
$52M
$-145M
$77M
$-166M
Interest Expense
$71M
$65M
$64M
$39M
$59M
$77M
$89M
Interest Income
$5M
$12M
$16M
$908.0K
$0
$0
·
Other Non-op
$-6M
$2M
$2M
$6M
$114.0K
$332.0K
$476.0K
Pretax Income
$22M
$44M
$-85M
$50M
$-275M
$-22M
$-278M
Income Tax
$20M
$13M
$6M
$11M
$-26M
$-5M
$-67M
Net Income
$2M
$31M
$-90M
$38M
$-249M
$-17M
$-210M
EPS (Basic)
$0.00
$0.04
$-0.15
$0.06
$-0.46
$-0.03
·
EPS (Diluted)
$0.00
$0.04
$-0.15
$0.06
$-0.46
$-0.03
·
Shares (Basic)
629,960,378
610,761,424
617,889,384
607,760,886
543,558,222
504,115,839
·
Shares (Diluted)
659,585,375
641,875,525
617,889,384
642,841,596
543,558,222
504,115,839
·
EBITDA
$153M
$123M
$13M
$80M
$-120M
·
·
Balance general28
Métrica
Tendencia
2025
2024
2023
2022
2021
2020
2019
Cash & Equivalents
$111M
$399M
$196M
$324M
$183M
$162M
$93M
Receivables
$137M
$107M
$102M
$98M
$79M
$74M
$64M
Prepaid Expense
$29M
$29M
$32M
$36M
$46M
$32M
·
Other Current Assets
$29M
$29M
$32M
$36M
$46M
$32M
·
Current Assets
$335M
$565M
$350M
$479M
$323M
$282M
·
PP&E (Net)
$167M
$172M
$160M
$146M
$136M
$101M
·
PP&E (Gross)
$359M
$331M
$285M
$245M
$217M
$161M
·
Accum. Depreciation
$192M
$159M
$125M
$99M
$82M
$60M
·
Goodwill
$1.96B
$1.42B
$1.42B
$1.50B
$1.47B
$1.47B
$1.47B
Intangibles
$1.01B
$934M
$1.02B
$1.12B
$1.21B
$1.31B
·
Other Non-current Assets
$35M
$34M
$43M
$46M
$26M
$18M
·
Total Assets
$3.57B
$3.18B
$3.05B
$3.35B
$3.24B
$3.20B
·
Accounts Payable
$31M
$18M
$16M
$28M
$13M
$13M
·
Accrued Liabilities
$81M
$73M
$71M
$71M
$67M
$53M
·
Current Liabilities
$234M
$155M
$153M
$152M
$137M
$126M
·
Capital Leases
$51M
$47M
$51M
$54M
$56M
·
·
Deferred Tax
$199M
$165M
$195M
$242M
$276M
$322M
·
Other Non-current Liabilities
$16M
$11M
$6M
$3M
$6M
$33M
·
Total Liabilities
$1.79B
$1.16B
$1.25B
$1.29B
$1.35B
$1.81B
·
Long-term Debt
$1.29B
$769M
$776M
$792M
$800M
$1.32B
·
Total Debt
$1.28B
$769M
$776M
$782M
$789M
·
·
Common Stock
$60.0K
$63.0K
$60.0K
$62.0K
$61.0K
$50.0K
·
Paid-in Capital
$3.48B
$3.09B
$2.91B
$2.75B
$2.62B
$1.50B
·
Retained Earnings
$-1.70B
$-1.10B
$-1.13B
$-708M
$-746M
$-129M
·
AOCI
$-1M
$-1M
$-1M
$-884.0K
$-315.0K
$-271.0K
·
Stockholders' Equity
$1.79B
$2.00B
$1.78B
$2.05B
$1.87B
$1.37B
$1.38B
Liabilities + Equity
$3.57B
$3.18B
$3.05B
$3.35B
$3.24B
$3.20B
·
Shares Outstanding
605,449,050
629,207,115
603,128,781
622,072,905
609,768,296
504,274,890
·
Flujo de Efectivo19
Métrica
Tendencia
2025
2024
2023
2022
2021
2020
2019
D&A
$59M
$43M
$37M
$28M
$24M
$18M
$18M
Stock-based Comp
$175M
$171M
$145M
$109M
$262M
$11M
$7M
Deferred Tax
$18M
$-31M
$-46M
$-34M
$-47M
$-11M
$-84M
Amort. of Intangibles
$74M
$72M
$72M
$72M
$72M
$72M
$81M
Other Non-cash
$61M
$69M
$205M
$59M
$137M
·
·
Operating Cash Flow
$315M
$284M
$250M
$200M
$127M
$104M
$66M
CapEx
$61M
$53M
$55M
$48M
$38M
$30M
$20M
Investing Cash Flow
$-471M
$-53M
$-55M
$-76M
$-49M
$-31M
$-21M
Debt Issued
$525M
$0
$0
$0
$790M
$370M
·
Net Debt Issued
$515M
$-8M
$-8M
$-8M
$-546M
·
·
Stock Issued
$0
$0
$0
$0
$1M
$719.0K
·
Stock Repurchased
$601M
$0
$328M
$0
$0
$0
$148.0K
Net Stock Activity
$-601M
$0
$-328M
$0
$1M
·
·
Dividends Paid
·
·
$0
$0
$269M
$0
·
Financing Cash Flow
$-132M
$-27M
$-323M
$18M
$-58M
$-4M
$-9M
Net Change in Cash
$-288M
$203M
$-128M
$141M
$20M
$69M
$36M
Taxes Paid
$29M
$51M
$43M
$56M
$15M
$917.0K
$-18M
Free Cash Flow
$255M
$231M
$195M
$152M
$89M
·
·
Levered FCF
$249M
$185M
$127M
$122M
$36M
·
·
Rentabilidad8
Métrica
Tendencia
2025
2024
2023
2022
2021
2020
2019
Gross Margin
73.5%
75.5%
73.4%
72.7%
71.6%
·
·
Operating Margin
8.9%
8.5%
-2.8%
6.6%
-21.0%
·
·
Net Margin
0.16%
3.3%
-10.4%
4.9%
-36.2%
·
·
Pretax Margin
2.0%
4.7%
-9.8%
6.4%
-39.9%
·
·
EBITDA Margin
14.4%
13.0%
1.5%
10.2%
-17.5%
·
·
ROA
0.05%
1.0%
-2.8%
1.2%
-7.7%
·
·
ROE
0.09%
1.6%
-4.7%
1.9%
-13.4%
·
·
ROIC
0.24%
2.0%
-1.0%
1.4%
-4.9%
·
·
Liquidez y Solvencia5
Métrica
Tendencia
2025
2024
2023
2022
2021
2020
2019
Current Ratio
1.4
3.6
2.3
3.2
2.4
1.0
·
Quick Ratio
1.1
3.3
1.9
2.8
1.9
0.7
·
Debt / Equity
0.7
0.4
0.4
0.4
0.4
·
·
LT Debt / Equity
0.7
0.4
0.4
0.4
0.4
·
·
Interest Coverage
1.3
1.2
-0.4
1.3
-2.5
·
·
Eficiencia2
Métrica
Tendencia
2025
2024
2023
2022
2021
2020
2019
Asset Turnover
0.3
0.3
0.3
0.2
0.2
·
·
Receivables Turnover
8.7
9.0
8.6
8.8
9.0
·
·
Por Acción5
Métrica
Tendencia
2025
2024
2023
2022
2021
2020
2019
Book Value / Share
$2.95
$3.18
$2.96
$3.29
$3.07
·
·
Revenue / Share
$1.60
$1.47
$1.40
$1.22
·
·
·
Cash Flow / Share
$0.48
$0.44
$0.40
$0.31
·
·
·
Cash / Share
$0.18
$0.63
$0.32
$0.52
$0.30
·
·
EPS (TTM)
$0.00
$0.04
$-0.15
$0.06
$-0.46
$-0.03
·
Tasas de Crecimiento5
Métrica
Tendencia
2025
2024
2023
2022
2021
2020
2019
Revenue YoY
11.9%
9.0%
10.7%
13.7%
8.7%
·
·
Revenue CAGR 3Y
10.5%
11.1%
11.0%
·
·
·
·
Revenue CAGR 5Y
10.8%
·
·
·
·
·
·
Net Income YoY
-94.6%
·
·
·
·
·
·
Net Income CAGR 3Y
-64.7%
·
·
·
·
·
·
Valoración (TTM)16
Métrica
Tendencia
2025
2024
2023
2022
2021
2020
2019
Revenue TTM
$1.06B
$945M
$866M
$782M
$688M
$633M
·
Net Income TTM
$2M
$31M
$-90M
$38M
$-249M
$-17M
·
Market Cap
$4.81B
$7.38B
$6.87B
$5.41B
$6.95B
·
·
Enterprise Value
$5.98B
$7.75B
$7.45B
$5.87B
$7.55B
·
·
P/E
·
293.2
-75.9
145.0
-24.8
-442.3
·
P/S
4.6
7.8
7.9
6.9
10.1
·
·
P/B
2.7
3.7
3.9
2.6
3.7
·
·
P / Cash Flow
15.3
26.0
27.5
27.1
54.5
·
·
P / FCF
18.9
32.0
35.2
35.6
78.0
·
·
EV / EBITDA
39.2
63.0
574.1
73.5
-62.8
·
·
EV / FCF
23.5
33.6
38.2
38.6
84.8
·
·
EV / Revenue
5.7
8.2
8.6
7.5
11.0
·
·
Dividend Yield
·
·
0.00%
0.00%
3.9%
·
·
Earnings Yield
0.00%
0.34%
-1.3%
0.69%
-4.0%
-0.23%
·
Payout Ratio
·
·
0.00%
0.00%
-108.1%
·
·
Annual Payout
·
·
$0
$0
$269M
$0
·
Estado de resultados18
Métrica
Tendencia
Q2 2026
Q1 2026
Q4 2025
Q3 2025
Q2 2025
Q1 2025
Q4 2024
Q3 2024
Q2 2024
Q1 2024
Q4 2023
Q3 2023
Q2 2023
Q1 2023
Q4 2022
Q3 2022
Revenue
$286M
$281M
$278M
$267M
$260M
$252M
$246M
$238M
$233M
$227M
$229M
$221M
$212M
$205M
$204M
$199M
Cost of Revenue
$75M
$72M
$73M
$74M
$66M
$67M
$61M
$55M
$55M
$59M
$56M
$58M
$59M
$57M
$59M
$53M
Gross Profit
$211M
$209M
$205M
$193M
$194M
$185M
$185M
$183M
$177M
$168M
$173M
$163M
$153M
$148M
$146M
$146M
R&D Expense
$53M
$53M
$53M
$53M
$60M
$62M
$53M
$50M
$49M
$49M
$45M
$44M
$43M
$41M
$42M
$40M
SG&A Expense
$48M
$50M
$45M
$47M
$48M
$67M
$57M
$53M
$51M
$57M
$54M
$49M
$46M
$42M
$45M
$39M
Operating Expenses
$163M
$160M
$155M
$163M
$170M
$196M
$164M
$155M
$155M
$160M
$153M
$147M
$226M
$134M
$136M
$129M
Operating Income
$48M
$49M
$50M
$30M
$24M
$-11M
$21M
$29M
$23M
$8M
$19M
$17M
$-73M
$13M
$10M
$17M
Interest Expense
$20M
$20M
$18M
$18M
$18M
$17M
$15M
$16M
$17M
$16M
$21M
$15M
$14M
$14M
$13M
$11M
Interest Income
$743.0K
$942.0K
$649.0K
$1M
$1M
$2M
$4M
$3M
$3M
$2M
$4M
$5M
$4M
$3M
$908.0K
$0
Other Non-op
$3M
$4M
$500.0K
$466.0K
$-2M
$-5M
$631.0K
$-3M
$1M
$3M
$239.0K
$182.0K
$4M
$-3M
$6M
$382.0K
Pretax Income
$31M
$33M
$33M
$13M
$6M
$-31M
$10M
$13M
$26M
$-5M
$33M
$-19M
$-100M
$1M
$-186.0K
$13M
Income Tax
$10M
$18M
$25M
$15M
$-7M
$-13M
$4M
$9M
$4M
$-4M
$7M
$2M
$-2M
$-783.0K
$-1M
$3M
Net Income
$21M
$15M
$8M
$-2M
$13M
$-17M
$6M
$4M
$21M
$-597.0K
$26M
$-21M
$-97M
$2M
$1M
$10M
EPS (Basic)
$0.04
$0.03
$0.01
$0.00
$0.02
$-0.03
$0.01
$0.00
$0.03
$0.00
$0.05
$-0.04
$-0.16
$0.00
$-0.01
$0.02
EPS (Diluted)
$0.04
$0.03
$0.01
$0.00
$0.02
$-0.03
$0.01
$0.00
$0.03
$0.00
$0.05
$-0.04
$-0.16
$0.00
$0.00
$0.02
Shares (Basic)
573,413,846
587,380,660
·
631,440,015
637,578,033
636,832,216
·
615,857,231
609,997,114
598,279,377
·
624,976,557
621,235,776
616,217,176
·
609,421,073
Shares (Diluted)
584,920,956
607,022,694
·
631,440,015
660,622,703
636,832,216
·
642,404,517
638,367,745
598,279,377
·
624,976,557
621,235,776
646,380,961
·
643,582,922
EBITDA
$62M
$62M
·
$47M
$38M
$3M
·
$39M
$32M
$17M
·
$27M
$-64M
$23M
·
$24M
Balance general28
Métrica
Tendencia
Q2 2026
Q1 2026
Q4 2025
Q3 2025
Q2 2025
Q1 2025
Q4 2024
Q3 2024
Q2 2024
Q1 2024
Q4 2023
Q3 2023
Q2 2023
Q1 2023
Q4 2022
Q3 2022
Cash & Equivalents
$116M
$37M
$111M
$97M
$55M
$130M
$399M
$286M
$238M
$191M
·
$449M
$404M
$338M
·
$248M
Receivables
$141M
$140M
$137M
$141M
$132M
$100M
$107M
$130M
$121M
$102M
$102M
$118M
$96M
$92M
$98M
$98M
Prepaid Expense
$33M
$33M
$29M
$31M
$31M
$36M
$29M
$32M
$27M
$31M
·
$30M
$29M
$35M
·
$34M
Other Current Assets
$33M
$33M
$29M
$31M
$31M
$36M
$29M
$32M
$27M
$31M
·
$30M
$29M
$35M
·
$34M
Current Assets
$331M
$251M
$335M
$331M
$278M
$298M
$565M
$468M
$409M
$343M
·
$614M
$552M
$485M
·
$396M
PP&E (Net)
$172M
$169M
$167M
$168M
$170M
$173M
$172M
$178M
$176M
$165M
·
$158M
$154M
$150M
·
$148M
PP&E (Gross)
$389M
$372M
$359M
$355M
$348M
$341M
$331M
$327M
$315M
$294M
·
$281M
$269M
$257M
·
$241M
Accum. Depreciation
$217M
$203M
$192M
$187M
$178M
$168M
$159M
$149M
$138M
$129M
·
$123M
$115M
$107M
·
$93M
Goodwill
$1.96B
$1.96B
$1.96B
$1.96B
$1.96B
$1.96B
$1.42B
$1.42B
$1.42B
$1.42B
$1.42B
$1.42B
$1.42B
$1.50B
$1.50B
$1.49B
Intangibles
$965M
$988M
$1.01B
$1.03B
$1.06B
$1.08B
$934M
$952M
$971M
$991M
·
$1.04B
$1.06B
$1.09B
·
$1.14B
Other Non-current Assets
$40M
$38M
$35M
$34M
$35M
$36M
$34M
$35M
$43M
$44M
·
$50M
$52M
$52M
·
$50M
Total Assets
$3.53B
$3.47B
$3.57B
$3.59B
$3.57B
$3.61B
$3.18B
$3.11B
$3.08B
$3.02B
·
$3.34B
$3.30B
$3.34B
·
$3.30B
Accounts Payable
$20M
$24M
$31M
$23M
$18M
$24M
$18M
$22M
$21M
$24M
·
$18M
$19M
$16M
·
$15M
Accrued Liabilities
$75M
$56M
$81M
$73M
$67M
$58M
$73M
$58M
$61M
$40M
·
$61M
$55M
$46M
·
$64M
Current Liabilities
$212M
$200M
$234M
$218M
$201M
$194M
$155M
$147M
$147M
$136M
·
$149M
$135M
$125M
·
$144M
Capital Leases
$51M
$52M
$51M
$53M
$54M
$55M
$47M
$48M
$49M
$50M
·
$52M
$52M
$53M
·
$58M
Deferred Tax
$207M
$202M
$199M
$181M
$161M
$168M
$165M
$162M
$171M
$183M
·
$201M
$218M
$235M
·
$222M
Other Non-current Liabilities
$11M
$13M
$16M
$17M
$17M
$18M
$11M
$9M
$10M
$7M
·
$2M
$2M
$2M
·
$3M
Total Liabilities
$1.76B
$1.75B
$1.79B
$1.46B
$1.43B
$1.43B
$1.16B
$1.15B
$1.17B
$1.22B
·
$1.28B
$1.26B
$1.25B
·
$1.27B
Long-term Debt
$1.27B
$1.28B
$1.29B
$981M
$983M
$985M
$769M
$771M
$772M
$774M
·
$777M
$779M
$780M
·
$784M
Total Debt
$1.27B
$1.28B
·
$981M
$983M
$985M
·
$771M
$772M
$774M
·
$777M
$779M
$780M
·
$784M
Common Stock
$58.0K
$58.0K
$60.0K
$65.0K
$65.0K
$66.0K
$63.0K
$63.0K
$62.0K
$61.0K
·
$63.0K
$63.0K
$63.0K
·
$62.0K
Paid-in Capital
$3.53B
$3.50B
$3.48B
$3.45B
$3.41B
$3.36B
$3.09B
$3.04B
$3.00B
$2.91B
·
$2.87B
$2.83B
$2.78B
·
$2.72B
Retained Earnings
$-1.76B
$-1.78B
$-1.70B
$-1.32B
$-1.27B
$-1.18B
$-1.10B
$-1.10B
$-1.11B
$-1.13B
·
$-824M
$-803M
$-706M
·
$-709M
AOCI
$-930.0K
$-982.0K
$-1M
$-1M
$-1M
$-1M
$-1M
$-1M
$-1M
$-1M
·
$-1M
$-1M
$-850.0K
·
$-1M
Stockholders' Equity
$1.77B
$1.72B
$1.79B
$2.13B
$2.14B
$2.18B
$2.00B
$1.94B
$1.89B
$1.78B
$1.78B
$2.04B
$2.03B
$2.07B
$2.05B
$2.01B
Liabilities + Equity
$3.53B
$3.47B
$3.57B
$3.59B
$3.57B
$3.61B
$3.18B
$3.11B
$3.08B
$3.02B
·
$3.34B
$3.30B
$3.34B
·
$3.30B
Shares Outstanding
587,843,605
586,695,554
605,449,050
647,182,603
648,994,473
658,636,205
629,207,115
625,325,706
622,795,101
614,257,735
·
634,633,179
631,982,491
627,683,715
·
620,117,025
Flujo de Efectivo18
Métrica
Tendencia
Q2 2026
Q1 2026
Q4 2025
Q3 2025
Q2 2025
Q1 2025
Q4 2024
Q3 2024
Q2 2024
Q1 2024
Q4 2023
Q3 2023
Q2 2023
Q1 2023
Q4 2022
Q3 2022
D&A
$14M
$13M
$14M
$17M
$14M
$14M
$13M
$10M
$10M
$9M
$9M
$10M
$9M
$9M
$8M
$7M
Stock-based Comp
$30M
$32M
$29M
$39M
$46M
$61M
$44M
$42M
$40M
$45M
$40M
$40M
$35M
$29M
$29M
$29M
Deferred Tax
$5M
$3M
$20M
$19M
$-7M
$-13M
$2M
$-8M
$-13M
$-12M
$-6M
$-17M
$-17M
$-7M
$19M
$-9M
Amort. of Intangibles
$19M
$19M
$19M
$19M
$19M
$19M
$18M
$18M
$18M
$18M
$18M
$18M
$18M
$18M
$18M
$18M
Other Non-cash
·
$-6M
·
·
·
$15M
·
·
·
$14M
·
·
·
$-777.0K
·
·
Operating Cash Flow
$102M
$57M
$119M
$95M
$43M
$58M
$114M
$63M
$52M
$55M
$87M
$61M
$70M
$33M
$81M
$31M
CapEx
$19M
$16M
$14M
$16M
$16M
$15M
$8M
$14M
$16M
$16M
$12M
$14M
$15M
$15M
$9M
$13M
Investing Cash Flow
$-19M
$-16M
$-14M
$-11M
$-16M
$-430M
$-8M
$-14M
$-16M
$-16M
$-12M
$-14M
$-15M
$-15M
$-9M
$-13M
Debt Issued
$0
$0
$300M
$0
$0
$225M
$0
$0
$0
$0
·
·
·
·
·
·
Net Debt Issued
·
$-3M
·
·
·
$222M
·
·
·
$-2M
·
·
·
$-2M
·
·
Stock Issued
·
·
·
·
·
·
$0
$0
$0
$0
·
·
·
·
·
$0
Stock Repurchased
$0
$100M
$388M
$40M
$100M
$72M
$0
$0
$0
$0
·
·
·
·
·
·
Net Stock Activity
·
$-100M
·
·
·
$-72M
·
·
·
$0
·
·
·
·
·
·
Financing Cash Flow
$-4M
$-116M
$-91M
$-41M
$-103M
$103M
$7M
$-1M
$11M
$-44M
$-328M
$-1M
$11M
$-4M
$3M
$3M
Net Change in Cash
$79M
$-74M
$14M
$42M
$-75M
$-269M
$113M
$48M
$47M
$-4M
$-253M
$45M
$65M
$15M
$76M
$21M
Taxes Paid
$4M
$-2M
$2M
$-429.0K
$26M
$445.0K
$9M
$12M
$30M
$576.0K
$16M
$7M
$20M
$202.0K
$171.0K
$17M
Free Cash Flow
·
$42M
·
·
·
$44M
·
·
·
$40M
·
·
·
$19M
·
·
Levered FCF
·
$32M
·
·
·
$34M
·
·
·
$38M
·
·
·
$-3M
·
·
Rentabilidad8
Métrica
Tendencia
Q2 2026
Q1 2026
Q4 2025
Q3 2025
Q2 2025
Q1 2025
Q4 2024
Q3 2024
Q2 2024
Q1 2024
Q4 2023
Q3 2023
Q2 2023
Q1 2023
Q4 2022
Q3 2022
Gross Margin
73.7%
74.3%
·
72.2%
74.5%
73.5%
·
76.9%
76.2%
73.9%
·
73.8%
72.1%
72.1%
·
73.3%
Operating Margin
16.7%
17.4%
·
11.2%
9.4%
-4.2%
·
12.0%
9.7%
3.4%
·
7.5%
-34.6%
6.5%
·
8.6%
Net Margin
7.3%
5.5%
·
-0.74%
5.0%
-6.9%
·
1.7%
9.2%
-0.26%
·
-9.6%
-46.0%
1.1%
·
4.9%
Pretax Margin
10.7%
11.9%
·
5.0%
2.2%
-12.2%
·
5.5%
11.1%
-2.1%
·
-8.8%
-47.1%
0.68%
·
6.7%
EBITDA Margin
21.5%
22.1%
·
17.6%
14.7%
1.1%
·
16.4%
13.9%
7.6%
·
12.1%
-30.4%
11.0%
·
11.9%
ROA
0.59%
0.44%
·
-0.06%
0.39%
-0.53%
·
0.13%
0.67%
-0.02%
·
-0.64%
-3.0%
0.07%
·
0.30%
ROE
1.1%
0.79%
·
-0.10%
0.64%
-0.88%
·
0.21%
1.1%
-0.03%
·
-1.1%
-4.9%
0.11%
·
0.51%
ROIC
1.1%
0.75%
·
-0.14%
1.8%
-0.19%
·
0.33%
0.70%
0.04%
·
0.64%
-2.5%
0.73%
·
0.45%
Liquidez y Solvencia5
Métrica
Tendencia
Q2 2026
Q1 2026
Q4 2025
Q3 2025
Q2 2025
Q1 2025
Q4 2024
Q3 2024
Q2 2024
Q1 2024
Q4 2023
Q3 2023
Q2 2023
Q1 2023
Q4 2022
Q3 2022
Current Ratio
1.6
1.3
·
1.5
1.4
1.5
·
3.2
2.8
2.5
·
4.1
4.1
3.9
·
2.8
Quick Ratio
1.2
0.9
·
1.1
0.9
1.2
·
2.8
2.4
2.2
·
3.8
3.7
3.5
·
2.4
Debt / Equity
0.7
0.7
·
0.5
0.5
0.5
·
0.4
0.4
0.4
·
0.4
0.4
0.4
·
0.4
LT Debt / Equity
0.7
0.7
·
0.5
0.5
0.4
·
0.4
0.4
0.4
·
0.4
0.4
0.4
·
0.4
Interest Coverage
2.3
2.4
·
1.7
1.4
-0.6
·
1.8
1.4
0.5
·
1.1
-5.2
1.0
·
1.6
Eficiencia2
Métrica
Tendencia
Q2 2026
Q1 2026
Q4 2025
Q3 2025
Q2 2025
Q1 2025
Q4 2024
Q3 2024
Q2 2024
Q1 2024
Q4 2023
Q3 2023
Q2 2023
Q1 2023
Q4 2022
Q3 2022
Asset Turnover
0.1
0.1
·
0.1
0.1
0.1
·
0.1
0.1
0.1
·
0.1
0.1
0.1
·
0.1
Receivables Turnover
2.1
2.3
·
2.0
2.1
2.5
·
1.9
2.1
2.3
·
2.0
2.4
2.4
·
2.2
Por Acción5
Métrica
Tendencia
Q2 2026
Q1 2026
Q4 2025
Q3 2025
Q2 2025
Q1 2025
Q4 2024
Q3 2024
Q2 2024
Q1 2024
Q4 2023
Q3 2023
Q2 2023
Q1 2023
Q4 2022
Q3 2022
Book Value / Share
$3.02
$2.93
·
$3.29
$3.29
$3.31
·
$3.10
$3.04
$2.90
·
$3.22
$3.20
$3.31
·
$3.24
Revenue / Share
$0.49
$0.46
·
$0.42
$0.39
$0.40
·
$0.37
$0.36
$0.38
·
$0.35
$0.34
$0.32
·
$0.31
Cash Flow / Share
·
$0.09
·
·
·
$0.09
·
·
·
$0.09
·
·
·
$0.05
·
·
Cash / Share
$0.20
$0.06
·
$0.15
$0.08
$0.20
·
$0.46
$0.38
$0.31
·
$0.71
$0.64
$0.54
·
$0.40
EPS (TTM)
$0.08
$0.06
·
$0.00
$0.00
$0.01
·
$0.08
$0.04
$-0.15
·
$-0.20
$-0.14
$0.04
·
$-0.06
Valoración (TTM)10
Métrica
Tendencia
Q2 2026
Q1 2026
Q4 2025
Q3 2025
Q2 2025
Q1 2025
Q4 2024
Q3 2024
Q2 2024
Q1 2024
Q4 2023
Q3 2023
Q2 2023
Q1 2023
Q4 2022
Q3 2022
Revenue TTM
$1.11B
$1.09B
·
$1.03B
$997M
$969M
·
$927M
$910M
$889M
·
$842M
$819M
$801M
·
$765M
Net Income TTM
$42M
$35M
·
$-172.0K
$6M
$14M
·
$51M
$26M
$-93M
·
$-115M
$-84M
$29M
·
$-21M
Market Cap
$3.03B
$3.52B
·
$5.90B
$6.11B
$5.95B
·
$6.91B
$6.92B
$7.35B
·
$8.47B
$7.08B
$5.63B
·
$5.64B
Enterprise Value
$4.19B
$4.76B
·
$6.78B
$7.04B
$6.80B
·
$7.39B
$7.45B
$7.93B
·
$8.80B
$7.46B
$6.07B
·
$6.18B
P/E
64.5
100.0
·
·
·
903.0
·
138.1
277.8
-79.7
·
-66.8
-80.1
224.2
·
-151.7
P/S
2.7
3.2
·
5.7
6.1
6.1
·
7.5
7.6
8.3
·
10.1
8.6
7.0
·
7.4
P/B
1.7
2.0
·
2.8
2.9
2.7
·
3.6
3.7
4.1
·
4.1
3.5
2.7
·
2.8
P / Cash Flow
·
61.3
·
·
·
101.7
·
·
·
133.0
·
·
·
170.2
·
·
EV / Revenue
3.8
4.4
·
6.6
7.1
7.0
·
8.0
8.2
8.9
·
10.5
9.1
7.6
·
8.1
Earnings Yield
1.6%
1.0%
·
0.00%
0.00%
0.11%
·
0.72%
0.36%
-1.2%
·
-1.5%
-1.2%
0.45%
·
-0.66%
Período más reciente a la izquierda · valores nulos mostrados como ·
Estados Financieros
Estado de resultados, balance general, flujo de caja — anual, últimos 5 años
16
Métrica
2025-12-31
2024-12-31
2023-12-31
2022-12-31
2021-12-31
Ingresos
$1.06B
$945M
$866M
$782M
$688M
Margen Bruto %
73.5%
75.5%
73.4%
72.7%
71.6%
Margen Operativo %
8.9%
8.5%
-2.8%
6.6%
-21.0%
Beneficio neto
$2M
$31M
$-90M
$38M
$-249M
EPS Diluido
$0.00
$0.04
$-0.15
$0.06
$-0.46
Métrica
2025-12-31
2024-12-31
2023-12-31
2022-12-31
2021-12-31
Deuda / Patrimonio
0.7
0.4
0.4
0.4
0.4
Ratio corriente
1.4
3.6
2.3
3.2
2.4
Ratio Rápido
1.1
3.3
1.9
2.8
1.9
Métrica
2025-12-31
2024-12-31
2023-12-31
2022-12-31
2021-12-31
Flujo de caja libre
$255M
$231M
$195M
$152M
$89M
Propietarios institucionales (13F)
376 declarantes
· $3.6B total
· A fecha de 30 de septiembre de 2026
17
Instituciones que informan tener esta acción en su Formulario 13F trimestral de la SEC. Solo posiciones largas; un solo presentador puede aparecer dos veces para tramos de opciones separados. Las patas de put/call de compensación grandes suelen reflejar la creación de mercado o el inventario cubierto, no la convicción direccional.
Tenedores376
Valor en tenencia$3.6B
Nuevas posiciones64
Posiciones cerradas78
Actividad institucional — Q2 2026 vs trimestre anterior
Nuevas posiciones
Posiciones cerradas
Aumentado
Disminuido
Cambio neto de acciones
64 (-45 vs trimestre anterior)
78 (+8 vs trimestre anterior)
90 (-64 vs trimestre anterior)
158 (+78 vs trimestre anterior)
-1.3M
Comparado con Q1 2026. Las presentaciones del Formulario 13F de la SEC vencen dentro de los 45 días posteriores al final del trimestre, más un pequeño margen para los presentadores tardíos; los trimestres que aún se encuentran dentro de esa ventana se omiten en favor del par más reciente completamente reportado.
Inversores que presentaron el Anexo 13D de la SEC — propiedad beneficiosa superior al % 5 con la intención de influir en el emisor (participaciones activistas, campañas de la junta directiva, M&A). Cada fila muestra el estado conocido más reciente de la posición de ese declarante.
Declarante
Presentado
Participación
Estado
Propósito
Presentación
ADVENT INTERNATIONAL, L.P., ADVENT INTERNATIONAL GP, LLC, ADVENT INTERNATIONAL GPE VIII, LLC, CYPRESS INVESTOR HOLDINGS, L.P., ADVENT INTERNATIONAL GPE VIII-C LIMITED PARTNERSHIP, GPE VIII CCC CO-INVESTMENT (DELAWARE) LIMITED PARTNERSHIP, CYPRESS INVESTMENT GP, LLC, GPE VIII GP S.A.R.L, GPE VIII GP LIMITED PARTNERSHIP
×10 presentaciones
OH Cypress Aggregator, L.P., Oak Hill Capital Partners IV (Onshore), L.P., Oak Hill Capital Partners IV (Onshore Tax Exempt), L.P., Oak Hill Capital Partners IV (Offshore), L.P., Oak Hill Capital Partners IV (Offshore 892), L.P., Oak Hill Capital Partners IV (Management), L.P., OHCP GenPar IV, L.P., OHCP MGP IV, Ltd.
×6 presentaciones
ADVENT INTERNATIONAL CORPORATION, ADVENT INTERNATIONAL GPE VIII, LLC, CYPRESS INVESTOR HOLDINGS, L.P., Advent International GPE VIII-C Limited Partnership, GPE VIII CCC Co-Investment (Delaware) Limited Partnership, Cypress Investment GP, LLC, GPE VIII GP S.à.r.l, GPE VIII GP Limited Partnership, Sunley House Capital Management LLC, Sunley House Capital GP LLC, Sunley House Capital Master Limited Partnership
×2 presentaciones
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.
Informantes de la empresa
25 insiders
· 11 directivos · 10 consejeros
Informantes de las presentaciones SEC Form 3/4/5; neto = solo P/S de mercado abierto
Propiedad de ETFs
Mantenido por 58 ETFs
20
El peso refleja solo las tenencias directas de acciones (N-PORT); los fondos apalancados o basados en derivados pueden tener exposición adicional a swaps no mostrada.