CRM

Salesforce, Inc.

NYQ · Technology

$238.22

$0.64 (+0.27%)up 0.27%

24 September 2026 · delayed 15+ min

D+

Quality score67.6 / 100

Cut-offs are the grader's own: 97+ for an A+, below 60 is an F.

Salesforce, Inc. earns a D+ on excellent profit margins (>20%) and strong earnings growth (>20%) but current ratio below 1.0 (liquidity concerns) and high debt-to-equity ratio (>2.0). Reasonable investment with moderate upside potential.

Model stance HOLD Suggested position 5.1% · $510.00 IQInvest estimate
Adjusted for Moderate investors, Medium-term investors 5.1% suggested allocation Change these

These change the suggested position size and the stance, not the category scores. Amount is in dollars.

IQ-CRM-20260924engine v1 · 7-category weighted scorecard

What it is worth, depending who you ask.

Today’s price against the year it has had and the targets analysts publish. Every marker is a reported figure, not a projection of ours.

52-week low

$146.32

Lowest analyst target

$160.00

Today's price

$238.22

52-week high

$269.11

Mean analyst target

$281.08

Highest analyst target

$475.00

CRM trades 75% of the way up its 52-week range, between $146.32 and $269.11. The mean analyst target of $281.08 is 18.0% above today's price.

Today’s price 52-week range Analyst price targets

Scored categories

Financial healthExcellent profit margins (>20%); Strong earnings growth (>20%); Current ratio below 1.0 (liquidity concerns); High debt-to-equity ratio (>2.0) 80.023%

Profit margin

21.99%

Net profit per unit of revenue

exceptionalWhat this means

Of every 100 units of revenue, this much survives as profit.

Margins this wide usually mean real pricing power or a moat.

Operating margin

21.38%

Before interest and tax

healthyWhat this means

Profit from operations, before interest and tax, per 100 of revenue.

The operations themselves are comfortably profitable.

Gross margin

77.28%

After the cost of goods only

highWhat this means

What is left of revenue after only the direct cost of the product.

Little marginal cost per sale, which is what lets software and pharma fund heavy R&D.

Return on equity

19.38%

Profit per unit of shareholder capital

strongWhat this means

Profit generated per unit of shareholder capital.

Above 15% is generally considered a good business.

Return on assets

5.70%

Profit per unit of assets

strongWhat this means

Profit generated per unit of everything the company owns.

The assets are working hard.

Debt to equity

110.42

Borrowings against equity

moderateWhat this means

Borrowings measured against shareholder capital.

Normal for most established companies.

Current ratio

0.84

Short-term assets over short-term debts

tightWhat this means

Short-term assets against short-term obligations.

Below 1 the company owes more within a year than it holds — workable if customers pay up front, risky otherwise.

Quick ratio

0.67

As above, excluding inventory

adequateWhat this means

Short-term assets excluding inventory, against short-term debts.

Near-term obligations are roughly covered without selling inventory.

Revenue growth

10.80%

Year on year

growingWhat this means

Change in revenue against the same period last year.

A healthy expansion rate.

Earnings growth

118.90%

Year on year

very strongWhat this means

Change in earnings against the same period last year.

Check whether it is repeatable or a one-off — a single asset sale can flatter this badly.

Revenue

$22.48B

Trailing twelve months

Free cash flow

$17.73B

Cash left after capital spending

Operating cash flow

$15.75B

Cash from the business itself

Payout ratio

15.68%

Dividends as a share of earnings

conservativeWhat this means

The share of earnings paid out as dividends.

Comfortably covered, with room to keep raising it.

Growth & momentumLow Sharpe ratio (0.07); Severe max drawdown (-58.7%) 45.022%

Return, 1 month

16.02%

Return, 3 months

58.89%

Return, 6 months

31.82%

Return, year to date

-5.43%

Return, 1 year

-1.77%

Return, 3 years

12.55%

Sharpe ratio

0.07

Return earned per unit of risk

modestWhat this means

Return earned per unit of risk taken.

Below 1 is the common case; return did not strongly outpace the volatility.

Win rate

50.32%

Share of days that closed up

about evenWhat this means

The share of trading days that closed higher.

Close to a coin flip, which is the norm — returns come from the size of moves, not their count.

Average daily return

0.02%

Best day

22.58%

Worst day

-19.74%

ValuationAttractive PEG ratio (0.79); High P/B ratio (5.11) 75.018%

P/E ratio

21.80

Price against trailing earnings

moderateWhat this means

You pay 21.80 for every 1 unit of annual earnings.

Roughly the long-run market average band.

Forward P/E

14.88

Price against forecast earnings

lowWhat this means

Price against next year's *forecast* earnings.

The market expects little growth, or doubts the forecast.

PEG ratio

0.79

P/E adjusted for growth

cheap for the growthWhat this means

P/E divided by the growth rate — it asks whether the price is justified by the growth.

Under 1 is the classic Peter Lynch marker for growth you are not paying full price for.

Price to book

5.11

Price against balance-sheet equity

well above bookWhat this means

Price against the accounting value of the company's net assets.

Normal for asset-light businesses, where the value sits in brands and software the balance sheet never records.

Price to sales

4.46

Price against revenue

highWhat this means

Price against revenue — usable when a company has no profit yet.

The price assumes today's revenue will convert into much more profit later.

EV / EBITDA

17.56

Whole-company value against cash earnings

highWhat this means

Whole-company value, debt included, against cash earnings.

Expensive even before interest, tax and depreciation are considered.

Enterprise value

$226.50B

Market value plus debt, minus cash — the price of the whole business

Shares outstanding

823,000,000

Shares the profit is split across

Dividend yield

0.74%

Annual dividend against price

modestWhat this means

Annual dividend as a percentage of the share price.

A small income component.

TechnicalPrice well above 200-day SMA (strong uptrend); Strong trend (ADX > 25); MACD bearish (negative histogram) 100.015%

RSI (14)

53.6

Above 70 overbought, below 30 oversold

neutralWhat this means

A 0–100 momentum gauge over the last 14 sessions.

The middle band, where most trading days sit.

MACD

7.92

Momentum against its own trend

MACD histogram

-4.08

Positive is bullish

ADX

28.0

Trend strength; above 25 is a real trend

trendingWhat this means

Trend strength, regardless of direction.

Above 25 is conventionally read as a genuine trend in force.

20-day average

$247.30

50-day average

$210.80

200-day average

$200.60

Price vs 50-day

13.01%

Price vs 200-day

18.76%

Bollinger upper

$272.58

Bollinger lower

$222.01

Average true range

8.84

Typical daily trading range

Stochastic %K

11.9

RiskHigh drawdown risk 15.012%

Volatility, annualised

39.33%

How far it swings in a year

normalWhat this means

How far the price typically swings over a year.

A typical range for an individual share.

Beta

1.20

Moves against the wider market

more volatile than the marketWhat this means

How much the price moves relative to the wider market.

Amplifies the index — bigger gains, bigger falls.

Maximum drawdown

-58.67%

Worst peak-to-trough fall

severeWhat this means

The worst peak-to-trough fall in the period measured.

A fall this deep needs roughly a doubling to recover.

Risk category

High

The engine's own banding

Analyst viewAnalyst consensus: Buy; Strong analyst coverage (53 analysts) 90.010%

Consensus

Buy

What covering analysts rate it

Analysts covering

53

Mean price target

$281.08

Highest target

$475.00

Lowest target

$160.00

Implied upside

17.99%

Target against today's price

meaningfulWhat this means

How far the mean analyst target sits above today's price.

Analysts see real room above today's price.

Price against the S&P 500

180 trading days to 2026-09-24

CRM is 8.8% down over the window, against 10.9% up for the S&P 500 — behind by 19.7 points.
CRM -8.8%S&P 500 +10.9%
Show the numbers
Sampled across the window. Both columns are rebased to 100 on 2026-01-06, so they can be compared directly.
DateCloseCRM rebasedS&P 500 rebased
2026-01-06$261.11100.0100.0
2026-01-28$226.4186.7100.5
2026-02-19$184.0370.598.8
2026-03-12$197.9275.896.1
2026-04-02$185.9171.294.8
2026-04-24$177.3967.9103.2
2026-05-15$172.7666.2106.7
2026-06-08$181.7669.6106.6
2026-06-30$156.3859.9108.0
2026-07-22$162.7162.3108.0
2026-08-12$192.9873.9111.6
2026-09-02$256.4898.2110.4

How the score was built

Each category is scored 0–100, then multiplied by its weight. The seven contributions sum to the quality score.
CategoryScoreWeightContribution
Financial health80.023%18.4
Growth & momentum45.022%9.9
Valuation75.018%13.5
Technical100.015%15.0
Risk15.012%1.8
Analyst view90.010%9.0
ESG50.00%0.0
Quality score100%67.6

ESG is scored but carries no weight in this grade. Add ?esg=1 to the address to include it — the engine then redistributes weight across the other six, so the whole scorecard changes, not just one row.

Argue with the model

Every other grader hands you a number. This one hands you the model.

Move a slider, press Recalculate, and the grade is rebuilt from the same category scores. Nothing is hidden: the scores are the engine's, only the weighting is yours.

What each model believes. Pick one above, or set your own sliders below.
ModelThe emphasis
IQInvest defaultThe engine's own weighting: financial health 23% and performance 22% lead, valuation 18%, then technicals, risk and analysts.
Value investorPrice against worth dominates: valuation 40%, financial health 25%. Chart signals count for almost nothing.
Growth investorMomentum first: performance 40% and technicals 20%. Whether the price is fair today gets just 5%.
Sleep at nightStability over everything: risk 35% and financial health 30% together outweigh all other categories combined.
ChartistThe tape over the fundamentals: technicals 45% and performance 25%. Valuation is nearly ignored.
18%
23%
22%
12%
15%
10%
0%

These are IQInvest's own weights, totalling 100%.

Your grade

D+

67.6 / 100

Identical to the IQInvest grade.

All 66 metricsOne flat sortable table, for when you want everything at once.
Metric Category Value Source
Analysts coveringAnalyst view53Yahoo Finance
ConsensusAnalyst viewBuyYahoo Finance
Highest targetAnalyst view$475.00Yahoo Finance
Implied upsideAnalyst view17.99%Yahoo Finance
Lowest targetAnalyst view$160.00Yahoo Finance
Mean price targetAnalyst view$281.08Yahoo Finance
Current ratioFinancial health0.84Yahoo Finance
Debt to equityFinancial health110.42Yahoo Finance
Earnings growthFinancial health118.90%Yahoo Finance
Free cash flowFinancial health$17.73BYahoo Finance
Gross marginFinancial health77.28%Yahoo Finance
Operating cash flowFinancial health$15.75BYahoo Finance
Operating marginFinancial health21.38%Yahoo Finance
Payout ratioFinancial health15.68%Yahoo Finance
Profit marginFinancial health21.99%Yahoo Finance
Quick ratioFinancial health0.67Yahoo Finance
Return on assetsFinancial health5.70%Yahoo Finance
Return on equityFinancial health19.38%Yahoo Finance
RevenueFinancial health$22.48BYahoo Finance
Revenue growthFinancial health10.80%Yahoo Finance
Average daily returnGrowth & momentum0.02%Yahoo Finance
Best dayGrowth & momentum22.58%Yahoo Finance
Return, 1 monthGrowth & momentum16.02%Yahoo Finance
Return, 1 yearGrowth & momentum-1.77%Yahoo Finance
Return, 3 monthsGrowth & momentum58.89%Yahoo Finance
Return, 3 yearsGrowth & momentum12.55%Yahoo Finance
Return, 6 monthsGrowth & momentum31.82%Yahoo Finance
Return, year to dateGrowth & momentum-5.43%Yahoo Finance
Sharpe ratioGrowth & momentum0.07Yahoo Finance
Win rateGrowth & momentum50.32%Yahoo Finance
Worst dayGrowth & momentum-19.74%Yahoo Finance
52-week highMarket data$269.11Yahoo Finance
52-week lowMarket data$146.32Yahoo Finance
Average volumeMarket data14,015,952Yahoo Finance
Day highMarket data$242.01Yahoo Finance
Day lowMarket data$237.00Yahoo Finance
EmployeesMarket data83,334Yahoo Finance
OpenMarket data$240.64Yahoo Finance
Previous closeMarket data$237.58Yahoo Finance
VolumeMarket data9,447,985Yahoo Finance
BetaRisk1.20Yahoo Finance
Maximum drawdownRisk-58.67%Yahoo Finance
Risk categoryRiskHighYahoo Finance
Volatility, annualisedRisk39.33%Yahoo Finance
20-day averageTechnical$247.30Yahoo Finance
200-day averageTechnical$200.60Yahoo Finance
50-day averageTechnical$210.80Yahoo Finance
ADXTechnical28.0Yahoo Finance
Average true rangeTechnical8.84Yahoo Finance
Bollinger lowerTechnical$222.01Yahoo Finance
Bollinger upperTechnical$272.58Yahoo Finance
MACDTechnical7.92Yahoo Finance
MACD histogramTechnical-4.08Yahoo Finance
Price vs 200-dayTechnical18.76%Yahoo Finance
Price vs 50-dayTechnical13.01%Yahoo Finance
RSI (14)Technical53.6Yahoo Finance
Stochastic %KTechnical11.9Yahoo Finance
Dividend yieldValuation0.74%Yahoo Finance
Enterprise valueValuation$226.50BYahoo Finance
EV / EBITDAValuation17.56Yahoo Finance
Forward P/EValuation14.88Yahoo Finance
P/E ratioValuation21.80Yahoo Finance
PEG ratioValuation0.79Yahoo Finance
Price to bookValuation5.11Yahoo Finance
Price to salesValuation4.46Yahoo Finance
Shares outstandingValuation823,000,000Yahoo Finance
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