Previous Close 230.02
1-Year Change 15.33%
6-Months Change -4.39%
3-Months Change 2.88%
Moving Avg (50d) 221.86
Moving Avg (200d) 230.65
ESG Rating -
Exchange NASDAQ
Market Cap. 8.21B
Beta (3-Years) 1.1
Revenue Growth (ttm) 29.15%
Net Profit Margin (ttm) -8.25%
Return On Assets (ttm) -12.48%
EPS (ttm) -1.36
PE Ratio (ttm) -169.13
Dividend Yield %
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Glossary:
  • TTM: Trailing Twelve Months
  • ESG: Environmental, Social and Governance
  • EPS: Earnings Per Share

Summary of the Company's Financials

APPF : Latest Forecast as of 2024-11-24

Asset Description: AppFolio, Inc.
Predicted Direction: Buy
Signal Strength: Buy
Forecast Date: 2024-11-21 00:00:00

Signal Strength

Strong Buy
Buy
Neutral
Sell
Strong Sell
Manage your risk using stop Loss position below. How much are you afford to loose ?

Stop Loss Prices by Risk level :

2% 5% 7% 10% 15% 20%
237.542 230.27 225.423 218.151 206.031 193.912
** Base on the close Price 242.39 as of 2024-11-22 00:00:00
Multiple Charts
Profitability ratios measure a company’s ability to generate income relative to revenue, balance sheet assets, operating costs, and equity. Common profitability financial ratios include the following.
Profitability Ratios
Liquidity ratios are financial ratios that measure a company’s ability to repay both short- and long-term obligations. Common profitability financial ratios include the following.
Liquidity Ratios
Leverage ratios measure the amount of capital that comes from debt. In other words, leverage financial ratios are used to evaluate a company’s debt levels. Common leverage ratios include the following.
Leverage Ratios
Market value ratios are used to evaluate the share price of a company’s stock. Common market value ratios include the following
Market value ratios
Efficiency ratios are used to measure how well a company is utilizing its assets and resources. Common efficiency ratios include
Efficiency ratios
In Millions USD (except per share data; shares in Millions)
In Millions USD (except per share data; shares in Millions)
In Millions USD (except per share data; shares in Millions)
Multiple Charts
Statements
  • Data are sourced from company financial statements 10-K,10-Q filed with U.S. Securities and Exchange Commission (SEC).
  • Some variables might not be found in the statements filed by the company. These are simply deduced from other variables when possible. The dot "." in front of some rows means the variable is not directly found in the statement and thus is deduced from other variables.
  • Check AppFolio, Inc. financial statements for more details following the link below.

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Company Profile

AppFolio, Inc.

Sector: Information Technology
Industry: Application Software
Country: United States

AppFolio is a company founded in 2006 that offers software-as-a-service applications for vertical markets. AppFolio primarily focuses on cloud-based property management software, services, and data analytics to the real estate industry. The company's headquarters is in Goleta, California, in the Santa Barbara area. Wikipedia

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