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Cloudflare, Inc.

Cloudflare, Inc.

NETBATSShares

$186.50

$2.56

1.39%

24 Jun 20:00

$69.26

$187.90

52 weeks low/high

Market sentiment

Section about market participants' moods: bulls holding long positions (“longs”) and bears holding short positions (“shorts”).

Overall assessment

strong bullish sentiment increases

5day with a yield of2.57%

Share of longs and shorts

Long
99.00%
Change to previous day:-1.31%
Short
1.00%
Change to previous day:45.88%
IndexBullsBears
Confidence
Support
Cash flows

Technical analysis

  • Trend Class
    Flat and Up
  • Trend Power
    Strong trend
  • Pattern
    Ascending wedge
  • EMA-20
    Bullish reversal
    2025-04-23 the price crossed up the moving average line and getting closer to the MA, which means that the upside trend weakens.
  • EMA-50
    Bullish reversal
    2025-04-24 the price crossed up the moving average line and demonstrates an upside trend.
  • EMA-100
    Bullish reversal
    2025-04-24 the price crossed up the moving average line and demonstrates a strong upside trend.
  • Stochastic
    Bearish reversal
    The stochastic indicator is in the upper part of the neutral territory and left the overbought territory. These factors indicate that perhaps the upside trend is coming to an end price will probably head south Last signal: main and signal line crossing.
  • RSI
    Bullish Recovery
    RSI indicator is in the upper part of the neutral territory and it heading south. These factors indicate that the downside trend is forming. Last signal: exit from the overbought zone.
  • MACD
    Bearish reversal
    Oscillator MACD is in the positive territory it's lower than the signal line and falls. These factors mean that the growing period is over. Last signal: main and signal line crossing.
  • Candle pattern type
    Rickshaw
    is a long candlestick with a doji body. In particular, the rickshaw man is a type of long legged doji where the body must be located at or very near the middle of the candle. Indicates indecision in the market.
    Date of signal:

Prices and risks

Price

ChangeChange by industryMin.Max.Volume
Yesterday-3.81%4.68%$183.61$187.4563.94M
Week0.33%1.81%$175.25$187.451.45B
Month15.27%0.84%$154.93$187.457.50B
3 Months45.86%12.15%$89.42$187.4519.87B
6 Months60.06%46.51%$89.42$187.4538.96B
Year131.00%60.94%$69.26$187.4557.04B
3 years262.30%79.95%$37.37$187.45153.41B
5 years405.42%22.27%$32.70$221.64296.92B
All time371.11%138.77%$14.50$221.64259.42B

Volatility

NETBy industry
Yesterday1.27%0.97%
Week4.35%2.14%
Month11.13%10.37%
3 Months19.49%17.36%
6 Months30.19%25.38%
Year51.70%32.18%
3 years113.42%59.59%
5 years154.37%79.24%
All time

Risk ratios

Sortino
2.24
Sharpe
2.53
Sterling
2.92
Liquidity index
6.42
Alpha
-0.00018
Beta
2.67
Indicators are given for the year

Fundamental analysis

Indicators for the last quarter and their dynamics for 5 quarters

Ratios

Valuation
P/E
0.00
Price/Sales
21.79
P/B
37.06
P/FCF
182.24
Debts
D/E
1.32
Efficiency
Net Worth
32.59
Quick Ratio
0.00
Current Ratio
3.51
Other ratios
Net Profit Margin
-5.98
Operating Margin
-10.43
Gross Margin
77.54
Revenue
EPS
0.03
EPS Forecast
0.03
Revenue
401.00M
Gross Profit
334.00M
EBITDA
15.00M

Financials

Growth
Net Income
-$15.00M
Operating Income
-$31.00M
Assets
Total Assets
$3.06B
Cash on Hand
$1.83B
Total share holder equity
$973.00M
Debts
Long Term Debt
$1.29B
Total liabilities
$2.09B

News