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VRSN

Verisign·NASDAQ
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9.34 / 10
Outperform

Fundamental analysis rates VeriSign Outperform with a 9.3/10 score. Strong points include a 370‑day operating cycle (group 4) and high net‑profit margin (77%). Weaknesses are negative Asset‑MV and high asset‑liability ratio. Overall, fundamentals remain robust despite some balance‑sheet concerns.

Fundamental(9.34)SentimentTechnical

Analysis Checks(5/10)

Asset-liability ratio (%)
Value262.47
Score0/3
Weight-8.23%
1M Return-0.95%
Operating cycle
Value370.75
Score3/3
Weight63.30%
1M Return6.96%
Days sales outstanding
Value229.45
Score1/3
Weight-3.44%
1M Return-0.38%
Profit-MV
Value0.64
Score1/3
Weight-31.81%
1M Return-3.97%
Current assets turnover ratio
Value2.52
Score1/3
Weight11.18%
1M Return1.25%
Long-term debt to working capital ratio (%)
Value6.45
Score2/3
Weight12.50%
1M Return1.39%
Asset-MV
Value-0.55
Score0/3
Weight-37.06%
1M Return-6.04%
Equity multiplier (DuPont analysis %)
Value-0.66
Score3/3
Weight49.31%
1M Return5.25%
Inventory turnover days
Value210.83
Score2/3
Weight32.87%
1M Return3.65%
Net profit / Total profit (%)
Value77.28
Score2/3
Weight11.38%
1M Return1.24%
Is VRSN fundamentally strong?
  • VRSN scores 9.34/10 on fundamentals and holds a Discounted valuation at present. Backed by its 0.00% ROE, 49.84% net margin, 27.41 P/E ratio, -10.51 P/B ratio, and 10.24% earnings growth, these metrics solidify its Outperform investment rating.