GITLAB INC

NASDAQ: GTLB (GitLab Inc.)

Kemas kini terakhir: 24 Dec, 2025, 6:06AM

37.57

-0.81 (-2.11%)

Penutupan Terdahulu 38.38
Buka 38.02
Jumlah Dagangan 2,862,972
Purata Dagangan (3B) 4,443,922
Modal Pasaran 6,326,788,096
Harga / Pendapatan (P/E Ke hadapan) 29.85
Harga / Jualan (P/S) 6.04
Harga / Buku (P/B) 6.05
Julat 52 Minggu
35.81 (-4%) — 74.18 (97%)
Tarikh Pendapatan 2 Mar 2026
Margin Keuntungan 1.62%
Margin Operasi (TTM) -16.13%
EPS Cair (TTM) 0.090
Pertumbuhan Hasil Suku Tahunan (YOY) 26.80%
Jumlah Hutang/Ekuiti (D/E MRQ) 0.03%
Nisbah Semasa (MRQ) 2.48
Aliran Tunai Operasi (OCF TTM) 4.19 M
Aliran Tunai Bebas Leveraj (LFCF TTM) -13.00 M
Pulangan Atas Aset (ROA TTM) -5.26%
Pulangan Atas Ekuiti (ROE TTM) 1.38%

Arah Aliran Pasaran

Jangka Pendek Jangka Sederhana
Industri Software - Infrastructure (US) Bercampur Bercampur
Software - Infrastructure (Global) Bercampur Bercampur
Stok GitLab Inc. Menurun Menurun

AISkor Stockmoo

-0.3
Konsensus Penganalisis -0.5
Aktiviti Orang Dalam -1.5
Volatiliti Harga 0.5
Purata Bergerak Teknikal 2.5
Osilator Teknikal -2.5
Purata -0.30

Saham Serupa

Stok Modal Pasaran DY P/E (TTM) P/B
GTLB 6 B - - 6.05
CFLT 11 B - - 9.65
SAIL 11 B - - 1.59
CORZ 6 B - - -
QLYS 5 B - 25.75 8.97
ACIW 5 B - 17.83 3.03

GitLab Inc operates on an all-remote model. GitLab, a complete DevSecOps platform delivered as a single application. It operates in two competitive landscapes: DevOps point solutions and DevOps platforms. In terms of point solutions that are stitched together, GitLab’s offering is substantially different in that it is one platform, one codebase, one interface, and a unified data model that spans the entire DevSecOps lifecycle. DevOps platforms, the principal competitor is Microsoft Corporation following their acquisition of GitHub. GitLab is offered on both self-managed and software-as-a-service (SaaS) models. It is located in the United States, Europe, and Asia Pacific. It focused on accelerating innovation and broadening the distribution of its platform to companies across the world.

Sektor Technology
Industri Software - Infrastructure
Gaya Pelaburan Small Growth
% Dimiliki oleh Orang Dalam 3.80%
% Dimiliki oleh Institusi 87.92%
Julat 52 Minggu
35.81 (-4%) — 74.18 (97%)
Julat Harga Sasaran
34.00 (-9%) — 70.00 (86%)
Tinggi 70.00 (Canaccord Genuity, 86.32%) Beli
Median 48.00 (27.76%)
Rendah 34.00 (Barclays, -9.50%) Jual
Purata 47.94 (27.60%)
Jumlah 8 Beli, 8 Pegang, 1 Jual
Harga Purata @ Panggilan 37.79
Syarikat Tarikh Harga Sasaran Panggilan Harga @ Panggilan
Barclays 12 Jan 2026 34.00 (-9.50%) Jual 35.66
03 Dec 2025 42.00 (11.79%) Pegang 37.83
Morgan Stanley 12 Jan 2026 42.00 (11.79%) Pegang 35.66
Cantor Fitzgerald 07 Jan 2026 40.00 (6.47%) Pegang 36.76
03 Dec 2025 60.00 (59.70%) Beli 37.83
Piper Sandler 05 Jan 2026 55.00 (46.39%) Beli 37.51
RBC Capital 05 Jan 2026 48.00 (27.76%) Beli 37.51
BTIG 17 Dec 2025 52.00 (38.41%) Beli 37.87
03 Dec 2025 52.00 (38.41%) Beli 37.83
DA Davidson 04 Dec 2025 45.00 (19.78%) Pegang 37.51
01 Dec 2025 45.00 (19.78%) Pegang 41.15
Canaccord Genuity 03 Dec 2025 70.00 (86.32%) Beli 37.83
Goldman Sachs 03 Dec 2025 42.00 (11.79%) Pegang 37.83
JP Morgan 03 Dec 2025 53.00 (41.07%) Pegang 37.83
Keybanc 03 Dec 2025 49.00 (30.42%) Beli 37.83
Macquarie 03 Dec 2025 40.00 (6.47%) Pegang 37.83
Needham 03 Dec 2025 50.00 (33.08%) Beli 37.83
Rosenblatt 03 Dec 2025 55.00 (46.39%) Beli 37.83
01 Dec 2025 58.00 (54.38%) Beli 41.15
UBS 03 Dec 2025 51.00 (35.75%) Beli 37.83
Wells Fargo 03 Dec 2025 45.00 (19.78%) Pegang 37.83
Truist Securities 19 Nov 2025 44.00 (17.11%) Pegang 43.40
Papar semua
Nama Purata Belian ($) Purata Jualan ($) Jumlah Net Jumlah Nilai Bersih ($)
SIJBRANDIJ SYTSE 36.16 36.16 0 0
Jumlah Keseluruhan Kuantiti Bersih 0
Jumlah Keseluruhan Nilai Bersih ($) 0
Purata Pembelian Keseluruhan ($) 36.16
Purata Jualan Keseluruhan ($) 36.16
Nama Pemegang Tarikh Jenis Kuantiti Harga Nilai ($)
SIJBRANDIJ SYTSE Pengarah 14 Jan 2026 Diperolehi (+) 54,300 36.16 1,963,488
SIJBRANDIJ SYTSE Pengarah 14 Jan 2026 Jual automatik (-) 54,300 36.16 1,963,488

Tahap sokongan, rintangan dan garis aliran yang dibentangkan telah dihasilkan oleh model kecerdasan buatan (AI) dan harus ditafsirkan dengan berhati-hati.

Portfolio

AI Templat

Peringatan harga anda

Profil Risiko

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Sederhana Agresif
Agresif
Margin Keselamatan (EP)
Keuntungan Separa (TP1)
Keuntungan Sasaran (TP2)
Kerugian Maksimum (SL)

Penafian: Perkara di atas adalah untuk tujuan ilustrasi sahaja dan BUKAN nasihat pelaburan. Dapatkan nasihat daripada penasihat kewangan yang berkelayakan.

Harga Masuk (EP)

Ambil Untung 1 (TP1)

Ambil Untung 2 (TP2)

Henti Rugi (SL)

Julat 52 Minggu
 
52WL
 
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SL
EP
TP1
TP2

Semua harga peringatan berada dalam julat harga 52 minggu

Keuntungan Nyata -
Keuntungan Tidak Nyata -
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Tiada saham yang memenuhi kriteria anda