MONGODB

NASDAQ: MDB (MongoDB, Inc.)

Last update: 22 hours ago

261.86

1.24 (0.48%)

Previous Close 260.62
Open 263.00
Volume 778,957
Avg. Volume (3M) 1,975,875
Market Cap 20,983,783,424
Price / Earnings (Forward) 75.19
Price / Sales 9.96
Price / Book 12.91
52 Weeks Range
212.74 (-18%) — 509.62 (94%)
Earnings Date 5 Mar 2025 - 10 Mar 2025
Profit Margin -12.08%
Operating Margin (TTM) -14.94%
Diluted EPS (TTM) -2.73
Quarterly Revenue Growth (YOY) 12.80%
Total Debt/Equity (MRQ) 89.87%
Current Ratio (MRQ) 5.03
Operating Cash Flow (TTM) 155.26 M
Levered Free Cash Flow (TTM) 290.88 M
Return on Assets (TTM) -6.18%
Return on Equity (TTM) -19.56%

Market Trend

Short Term Medium Term
Industry Software - Infrastructure (US) Mixed Mixed
Software - Infrastructure (Global) Mixed Mixed
Stock MongoDB, Inc. Bearish Bearish

AIStockmoo Score

-0.8
Analyst Consensus -0.5
Insider Activity -4.0
Price Volatility 2.0
Technical Moving Averages 2.5
Technical Oscillators -4.0
Average -0.80

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CYBR 18 B - 1,240.41 14.37
NTNX 17 B - - -

Founded in 2007, MongoDB is a document-oriented database. MongoDB provides both licenses as well as subscriptions as a service for its NoSQL database. MongoDB’s database is compatible with all major programming languages and is capable of being deployed for a variety of use cases.

Sector Technology
Industry Software - Infrastructure
Investment Style Mid Growth
% Held by Insiders 3.20%
% Held by Institutions 94.73%
52 Weeks Range
212.74 (-18%) — 509.62 (94%)
Price Target Range
220.00 (-15%) — 430.00 (64%)
High 430.00 (Tigress Financial, 64.21%) Buy
430.00 (Citigroup, 64.21%) Buy
Median 390.00 (48.94%)
Low 220.00 (Monness, Crespi, Hardt, -15.99%) Sell
Average 370.58 (41.52%)
Total 22 Buy, 3 Hold, 1 Sell
Avg. Price @ Call 280.79
Firm Date Target Price Call Price @ Call
China Renaissance 21 Jan 2025 351.00 (34.04%) Buy 257.86
Scotiabank 21 Jan 2025 275.00 (5.02%) Hold 257.86
10 Dec 2024 350.00 (33.66%) Hold 290.90
Cantor Fitzgerald 16 Jan 2025 344.00 (31.37%) Buy 247.96
Barclays 10 Jan 2025 330.00 (26.02%) Buy 245.22
10 Dec 2024 400.00 (52.75%) Buy 290.90
Guggenheim 06 Jan 2025 300.00 (14.57%) Buy 252.86
Tigress Financial 18 Dec 2024 430.00 (64.21%) Buy 252.67
Rosenblatt 17 Dec 2024 350.00 (33.66%) Buy 265.10
Citigroup 16 Dec 2024 430.00 (64.21%) Buy 265.63
Monness, Crespi, Hardt 16 Dec 2024 220.00 (-15.99%) Sell 265.63
Macquarie 12 Dec 2024 300.00 (14.57%) Hold 288.61
Canaccord Genuity 11 Dec 2024 385.00 (47.03%) Buy 297.20
JMP Securities 11 Dec 2024 380.00 (45.12%) Buy 297.20
Baird 10 Dec 2024 390.00 (48.93%) Buy 290.90
04 Dec 2024 380.00 (45.12%) Buy 341.31
DA Davidson 10 Dec 2024 405.00 (54.66%) Buy 290.90
Goldman Sachs 10 Dec 2024 390.00 (48.93%) Buy 290.90
Keybanc 10 Dec 2024 395.00 (50.84%) Buy 290.90
05 Dec 2024 375.00 (43.21%) Buy 334.31
Mizuho 10 Dec 2024 320.00 (22.20%) Hold 290.90
Morgan Stanley 10 Dec 2024 350.00 (33.66%) Buy 290.90
Needham 10 Dec 2024 415.00 (58.48%) Buy 290.90
Oppenheimer 10 Dec 2024 400.00 (52.75%) Buy 290.90
Piper Sandler 10 Dec 2024 425.00 (62.30%) Buy 290.90
26 Nov 2024 425.00 (62.30%) Buy 335.40
RBC Capital 10 Dec 2024 400.00 (52.75%) Buy 290.90
Stifel 10 Dec 2024 425.00 (62.30%) Buy 290.90
09 Dec 2024 360.00 (37.48%) Buy 350.13
Truist Securities 10 Dec 2024 400.00 (52.75%) Buy 290.90
Wells Fargo 10 Dec 2024 425.00 (62.30%) Buy 290.90
Loop Capital 02 Dec 2024 400.00 (52.75%) Buy 325.15
Show more
Name Avg. Buy ($) Avg. Sell ($) Net Quantity Net Value ($)
ITTYCHERIA DEV - 253.11 -8,335 -2,109,672
MERRIMAN DWIGHT A - 240.19 -1,045 -250,999
Aggregate Net Quantity -9,380
Aggregate Net Value ($) -2,360,670
Aggregate Avg. Buy ($) -
Aggregate Avg. Sell ($) 246.65
Name Holder Date Type Quantity Price Value ($)
ITTYCHERIA DEV Officer 17 Jan 2025 Automatic sell (-) 8,335 253.11 2,109,672
ITTYCHERIA DEV Officer 17 Jan 2025 Option execute 8,335 - -
MERRIMAN DWIGHT A Director 13 Jan 2025 Automatic sell (-) 1,045 240.19 250,999

The support, resistance and trendline levels presented has been generated by an artificial intelligence (AI) model and should be interpreted with caution.

Portfolio

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Risk Profile

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Conservative
Moderate Conservative
Moderate
Moderate Aggressive
Aggressive
Margin of Safety (EP)
Partial Profit (TP1)
Target Profit (TP2)
Maximum Loss (SL)

Disclaimer: The above is for illustrative purposes only and is NOT investment advice. Seek advice from a qualified financial professional.

Entry Price (EP)

Take Profit 1 (TP1)

Take Profit 2 (TP2)

Stop Loss (SL)

52W Range
 
52WL
 
52WH
SL
EP
TP1
TP2

All alert prices are within 52 weeks price range

Realized Profit -
Unrealized Profit -
Dividend Received 2025 -
Total Profit -
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Quantity (Buy) -
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Quantity (Sold) -
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