NYSE · DV

DoubleVerify Holdings, Inc.

$10.56 +$0.18 (+1.73%) 1D After hours

Key Metrics

$1.59B
Market cap
29.12×
P/E · TTM
$764.06M
Revenue · TTM
$54.70M
Net income
EPS · TTM $0.32
Dividend yield
Free cash flow $134.91M
Beta · 1Y 0.65
EBITDA · TTM $146.95M
Gross margin

The Story So Far

LAST 6 MONTHS PRIMARY SOURCES ONLY
  • Jul 27
    Money has been moving out of its sector (Technology).

    Technology has run -4.1 points vs SPY over four weeks, ranking 8→2→11→7 of 11 sectors — this stock trades inside that current.

    RECEIPT: ROTATION MAP, LIVE ↗
  • Jul 16
    Money rotated out of high-beta cohorts market-wide.

    High-beta names lagged the blue-chips by 18.6 points over ten sessions around this date. Stocks in that cohort weren't falling alone — they fell together.

    RECEIPT: ROTATION GAUGE, LIVE
  • May 13
    The stock moved -11.3% in a single session.

    Sessions this size usually pair with a chapter above or below — a filing, a headline, or the whole cohort moving together.

    RECEIPT: DAILY BAR, May 13
  • Feb 27
    The stock moved +10.6% in a single session.

    Sessions this size usually pair with a chapter above or below — a filing, a headline, or the whole cohort moving together.

    RECEIPT: DAILY BAR, Feb 27

The story updates itself as events post · The wolf reports; you decide

Snapshot

Market cap$1.59B
Enterprise value
Shares outstanding153.5M
52-wk range$7.64 – $16.82
Avg volume · 20D1.8M
Net cash
Book value / share$6.40
IndustryServices-Computer Programming, Data Processing, Etc.
ExchangeNYSE
About DoubleVerify Holdings, Inc.
IPO dateApr 21, 2021
Employees1231

DoubleVerify Holdings Inc is a media effectiveness platform that leverages artificial intelligence (AI) to drive superior outcomes for international brands by creating transparent ad transactions.

Wolf Grade COMING SOON

The wolf is in training. Composite grades vs sector — profitability, health, value, momentum — arrive with the percentile engine. Methodology will be public.

Valuation

P/E29.12
P/S2.08
P/FCF11.81
EV/EBITDA
EV/Sales
Graham №$6.83

Profitability

Gross
Operating 11.4%
Net 7.2%
FCF 17.7%
ROE / ROIC 5.1% · 6.0%

Financial Health

Current ratio4.77
Quick ratio
Debt / equity
Debt / EBITDA
Net cash
Working capital$356.79M

Cash Flow · TTM

Operating CF $177.69M
Capex −$42.79M
Free cash flow $134.91M
Buybacks $125.21M
Dividends paid
Shareholder yield 7.9%

Piotroski F-Score

4 / 9
Middling fundamentals · 4 of 9 signals passing

Altman Z-Score

6.5
Safe zone (> 2.99) · bankruptcy risk negligible

Graham Number vs Price

$6.83 vs $10.56
Trades 1.5× above classic defensive value — priced for growth
Fundamentals through 2026-03-31 · computed by TickerWolf from SEC filings