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Microstrategy Inc.

NASDAQ: MSTR

Stock price

128.64 USD

(+80.93%) 5 years

MSTR
Software - Application

Financial Performance

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5Y price score: 124

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The price score is a basic measure of the stock's performance
against the S&P 500 Index over a five-year period.
A score of 100 indicates that the stock did as well as the S&P 500 Index.
A score below 100 means the stock underperformed the index,
while a score above 100 means it outperformed the S&P 500.

10Y return: 619.5%

DATE RANGE:

US$ Per
Share

  • Earnings per share

  • Free cash flow per share

  • Stock price

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104.1

52-week range

457.2

128.64

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Required return / cost of capital
FCFF terminal growth rate

Your fair value & Margin of safety

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Valuation

Free Cash Flow Yield

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FCF Yield TTM = Trailing Twelve Months free cash flow per share / current market price per share

(4.2) %

Dividend Yield TTM

-

Market cap $

$ 35,713.4

Price / Earnings TTM

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P/E TTM = current market price per share / Trailing Twelve Months diluted earnings per share

(7)

Price / Book TTM

0.7

PEG TTM

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Price/Earnings-to-Growth ratio = P/E TTM divided by most recent annual diluted earnings per share growth rate

0

Earnings growth and return

LTM

5YR

10YR

Total return (price & dividends)

(52.8) %

80.9 %

619.5 %

Free cash flow per share growth

99.7 %

96.8 %

(129.9) %

Earnings per share growth

(151.3) %

(19,501) %

(1,755.4) %

Founded: 1,970

Employees: 3,114

Business Summary: microstrategy (nasdaq: mstr) is a worldwide leader in enterprise analytics and mobility software. a pioneer in the bi and analytics space, microstrategy delivers innovative software that empowers people to make better decisions and transform the way they do business. we provide our enterprise customers with world-class software and expert services so they can deploy unique intelligence applications.

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FISCAL PERIOD END DATES
01Earnings per share
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Diluted EPS
02FCF per share
03Dividends per share
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Adjusted for splits
04Dividends payout, %
05Revenue
06ㅤ% Change
07Net Income
08ㅤ% Margin
09CFO
10ㅤ% Of revenue
11CAPEX
12ㅤ% Change
13FCFF
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Free Cash Flow to the Firm = Cash Flows from Operating Activities (09) – Capital Expenditures (11)
14Total assets
15ㅤ% Change
16Total liabilities
17ㅤ% Of assets
18Shareholders Equity
19Net Debt
20Shares Outstanding
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Diluted Weighted-average Shares Outstanding
21ㅤ% Change
22ROA
23ROE
24Interest coverage
25Dividend Yield
26P/E Ratio
27Stock price range
28Market Cap
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End of Period Market Cap
29FCF Yield
30Average stock price
31 CEO
Fair Value Reference Estimate

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Required return / cost of capital
FCFF terminal growth rate
Free cash flow forecast
Terminal value
ㅤPV breakdown
Enterprise value / PV of FCF
ㅤPlus / (Less): Net Debt
ㅤLess: preferred stock
ㅤLess: minority interest
Market cap
ㅤNumber of shares
Price per share

Latest Earnings Call Takeaways

2025 Q4 (Feb 6, 2026)

1) Strategic Positioning and Leadership
- MicroStrategy holds 713,502 Bitcoin, representing about 3.4% of total Bitcoin supply, reinforcing its status as the largest corporate holder.
- The company raised over $25 billion in 2025, enhancing its treasury strategy and product ecosystem.
- Adoption of fair value accounting improved transparency of Bitcoin holdings, and the company received its first credit rating as a Bitcoin treasury entity, increasing institutional recognition.
- A $2.25 billion cash reserve was established, providing over 2.5 years of dividend coverage, enhancing risk management.

2) Financial Performance and Results
- Q4 2025 saw an operating loss of $17.4 billion and a net loss of $12.6 billion, primarily due to a decline in Bitcoin's fair value.
- For the full year, the operating loss was $5.4 billion and net loss was $4.2 billion, with results aligned with guidance based on Bitcoin price fluctuations.
- The company achieved a BTC yield of 22.8%, exceeding its target range of 22% to 26%, translating to a total BTC gain of 101,873 Bitcoin valued at $8.9 billion.

3) Challenges and Market Headwinds
- The significant losses in Q4 were driven by Bitcoin price volatility, which poses ongoing risks to financial results.
- The company is navigating a challenging market environment, with potential impacts on liquidity and investor sentiment due to macroeconomic conditions.
- Concerns around the sustainability of Bitcoin prices and the ability to service debt obligations remain, although management expressed confidence in their strategy and financial position.

4) Operational Plans and Product Development
- The company plans to continue its disciplined Bitcoin acquisition strategy, aiming to increase Bitcoin per share over time.
- The launch of digital credit products, including the Stretch instrument, aims to provide attractive yields while managing volatility.
- Management emphasized the importance of maintaining a stable price for Stretch and ensuring it remains an appealing investment option.
- Future efforts will focus on enhancing the credit quality of digital instruments and expanding investor access.

5) Guidance and Outlook
- Management remains optimistic about long-term Bitcoin price appreciation and the company's ability to navigate market cycles.
- The focus will be on maintaining a strong balance sheet, managing leverage, and ensuring sufficient liquidity to meet obligations.
- Future capital allocation will be guided by market conditions, with a preference for maintaining flexibility in response to investor sentiment.

Bottom line: MicroStrategy's strong position as a leading Bitcoin treasury company, combined with its innovative financial strategies and robust capital reserves, positions it well for long-term growth despite current market volatility. The focus on digital credit products and disciplined Bitcoin accumulation aims to enhance shareholder value and mitigate risks associated with price fluctuations.

Microstrategy Inc. — Financial Overview, Stock Price, Market Cap

Microstrategy Inc. is a company. Founded in 1970. As of April 13, 2026, the company's market capitalization is $35713351968 with a current stock price of $128.64.