DoubleVerify Holdings Inc

Symbol: DV
ISIN: US25862V1052
$11.98

Price history of DoubleVerify Holdings Inc

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Overview

The stock exchange where this stock is listed, such as NASDAQ, NYSE or LSE. Exchange: NYSE
International Securities Identification Number: a globally unique 12-character code identifying this security. ISIN: US25862V1052
The ticker symbol used to trade this stock on the exchange, e.g. AAPL for Apple. Symbol: DV
The economic sector the company operates in, e.g. Technology or Financials. Sector: Communication Services
The specific industry within the sector, e.g. Consumer Electronics. Industry: Advertising Agencies
Average number of shares traded per day over the recent period. Avg. Daily Volume: 3.57M
The currency in which the stock price is denominated. Currency: USD
Total market value of all outstanding shares: price × shares outstanding. Market Cap: 2.06B

52-Week Range

52w Low
$7.64
$11.98
52w High
$16.44

Financial Ratios

Measure of the stock's volatility relative to the market. Beta > 1 means more volatile than the index. Beta: 0.99
Percentage revenue growth compared to the previous fiscal year. Revenue Growth: 14.72%
Price-to-Earnings Ratio: stock price divided by earnings per share. Indicates how much investors pay per unit of earnings. Price/Earnings Ratio: 36.03
Earnings Per Share: net profit divided by the total number of outstanding shares. Earnings Per Share: 0.35
Net Margin: the percentage of revenue remaining as net profit after all costs and taxes. Net Margin: 7.66%
Debt Ratio: ratio of total debt to equity. Indicates how much of the company is financed by debt. Debt Ratio: 19.7%
Return on Equity: net income as a percentage of shareholders' equity. Measures how efficiently the company generates returns. Return on Equity: 5.39%
Dividend Yield: annual dividend payment as a percentage of the current stock price. Dividend Yield: 0%
Price-to-Book Ratio: market value divided by book value per share. P/B Ratio: 1.88

Financial Data

ESG Risk Ratings

i

ESG Risk Ratings measure how well a company manages environmental, social and governance factors. A lower risk score means less risk for investors.

ESG score30%

ESG Data 2022

ESG Risk Score:70.09
Grade:B B
Performance Score:30%

ESG Rating Scale

A+AA-B+BB-C+CC-D+DD-