NICE LTD ADR

NASDAQ: NICE (NICE Ltd)

Last update: 10 hours ago

110.72

1.69 (1.55%)

Previous Close 109.03
Open 108.95
Volume 835,428
Avg. Volume (3M) 762,863
Market Cap 6,836,041,728
Price / Earnings (TTM) 12.58
Price / Earnings (Forward) 9.29
Price / Sales 2.42
Price / Book 1.74
52 Weeks Range
99.00 (-10%) — 180.61 (63%)
Earnings Date 13 Nov 2025
Profit Margin 16.77%
Operating Margin (TTM) 21.16%
Diluted EPS (TTM) 7.16
Quarterly Revenue Growth (YOY) 6.20%
Quarterly Earnings Growth (YOY) 21.50%
Total Debt/Equity (MRQ) 15.39%
Current Ratio (MRQ) 1.60
Operating Cash Flow (TTM) 863.22 M
Levered Free Cash Flow (TTM) 719.82 M
Return on Assets (TTM) 6.97%
Return on Equity (TTM) 13.38%

Market Trend

Short Term Medium Term
Industry Software - Application (US) Mixed Mixed
Software - Application (Global) Mixed Mixed
Stock NICE Ltd Bearish Bearish

AIStockmoo Score

1.6
Analyst Consensus 3.0
Insider Activity NA
Price Volatility 0.5
Technical Moving Averages 5.0
Technical Oscillators -2.0
Average 1.63

Similar Stocks

Stock Market Cap DY P/E (TTM) P/B
NICE 7 B - 12.58 1.74
PAYX 41 B 3.69% 25.61 10.16
CDNS 85 B - 80.68 16.49
GRAB 21 B - 259.00 3.11
INTU 187 B 0.80% 46.08 9.67
ADP 104 B 2.39% 25.44 16.64

Nice is an enterprise software company that serves the customer engagement and financial crime and compliance markets. Software is deployed primarily on the cloud, but also on premises. Within customer engagement, Nice’s CXone is the leading CCaaS platform providing solutions such as call routing, interactive voice response, digital self-service, and workforce engagement management. Within financial crime and compliance, Nice offers risk and investigation management, fraud prevention, anti-money-laundering, and compliance solutions.

Sector Technology
Industry Software - Application
Investment Style Mid Core
% Held by Institutions 60.70%

Ownership

Name Date Shares Held
Harding Loevner Lp 30 Sep 2025 2,215,335
Black Creek Investment Management Inc. 30 Sep 2025 855,281
Hmi Capital Management, L.P. 30 Sep 2025 770,390
Vulcan Value Partners, Llc 30 Sep 2025 753,316
52 Weeks Range
99.00 (-10%) — 180.61 (63%)
Price Target Range
120.00 (8%) — 200.00 (80%)
High 200.00 (Citizens, 80.64%) Buy
Median 160.00 (44.51%)
Low 120.00 (Wedbush, 8.38%) Hold
Average 157.55 (42.30%)
Total 7 Buy, 4 Hold
Avg. Price @ Call 107.45
Firm Date Target Price Call Price @ Call
Wedbush 08 Dec 2025 120.00 (8.38%) Hold 105.72
Barclays 19 Nov 2025 165.00 (49.02%) Buy 101.63
Citigroup 19 Nov 2025 189.00 (70.70%) Buy 101.63
14 Nov 2025 211.00 (90.57%) Buy 133.38
Cantor Fitzgerald 18 Nov 2025 133.00 (20.12%) Hold 105.65
DA Davidson 18 Nov 2025 130.00 (17.41%) Hold 105.65
Jefferies 18 Nov 2025 136.00 (22.83%) Hold 105.65
13 Oct 2025 152.00 (37.28%) Hold 132.00
Mizuho 18 Nov 2025 150.00 (35.48%) Buy 105.65
Morgan Stanley 18 Nov 2025 160.00 (44.51%) Buy 105.65
RBC Capital 18 Nov 2025 175.00 (58.06%) Buy 105.65
Rosenblatt 18 Nov 2025 175.00 (58.06%) Buy 105.65
Citizens 14 Nov 2025 200.00 (80.64%) Buy 133.38
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No data within this time range.

5Y Average Dividend Yield 0.00%
Ex Date Announcement Date Payment Date Details
23 Feb 2017 16 Feb 2017 15 Mar 2017 0.16 Cash
18 Nov 2016 09 Nov 2016 06 Dec 2016 0.16 Cash
11 Aug 2016 - 31 Aug 2016 0.16 Cash
19 May 2016 05 May 2016 02 Jun 2016 0.16 Cash
22 Feb 2016 11 Feb 2016 09 Mar 2016 0.16 Cash
06 Nov 2015 - 24 Nov 2015 0.16 Cash
07 Aug 2015 29 Jul 2015 27 Aug 2015 0.16 Cash
18 May 2015 07 May 2015 03 Jun 2015 0.16 Cash
13 Feb 2015 05 Feb 2015 04 Mar 2015 0.16 Cash
13 Nov 2014 06 Nov 2014 02 Dec 2014 0.16 Cash
08 Aug 2014 30 Jul 2014 26 Aug 2014 0.16 Cash
22 May 2014 - 10 Jun 2014 0.16 Cash
13 Feb 2014 - 04 Mar 2014 0.16 Cash
07 Nov 2013 - 26 Nov 2013 0.16 Cash
20 Aug 2013 - 09 Sep 2013 0.16 Cash
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Annual Dividend Yield

Year Annual Dividend ($) Frequency/Year Yield %
2017 0.160 1 0.17
2016 0.640 4 0.93
2015 0.640 4 1.12
2014 0.640 4 1.26
2013 0.320 2 0.78

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

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Risk Profile

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Moderate
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Margin of Safety (EP)
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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.

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Take Profit 2 (TP2)

Stop Loss (SL)

52W Range
 
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All alert prices are within 52 weeks price range

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