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APP trades against a final fair-value range of $223.34-$481.14, with the midpoint set by the accepted valuation synthesis rather than earlier draft model outputs. Fair value range: low $223, high $481, with mid-point at $348.
Stock analysis

APP AppLovin Corporation fair value $348–$481

APP
By StockMarketAgent.AI team· supervised by
Analisado: 2026-05-09Próxima atualização: 2026-08-09Methodology v2.4Archetype: Mature compounderNASDAQ · Information Technology
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Preço
$468.55
▼ -120.75 (-25.77%)
Valor justo
$348
$348–$481
Classificação
Vender
confidence 87/100
Potencial de alta
-25.8%
upside to fair value
Margem de segurança
$295.63
buy below · 15%
Capitalização de mercado
$157.4B
P/E fwd 21.5
Fonte em inglêsPT
Exibindo a fonte em inglês enquanto traduzimos
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§1 Resumo executivo

  • Composite fair value $348 with high case $481.
  • Implied downside of 25.8% to fair value.
  • Moat 6.5/10 · confidence 87/100 · Mature compounder.
  • Currently screens above fair value, so patience matters more than entry speed.
Fair value
$348
Margin of safety
-34.7%
Confidence
87/100
Moat
6.5/10

Educational analysis only — not financial advice. Always do your own due diligence.

$468.55Price
FV $347.8
High $481.14

APP trades against a final fair-value range of $223.34-$481.14, with the midpoint set by the accepted valuation synthesis rather than earlier draft model outputs.

  • Proprietary Axon 2
    Proprietary Axon 2.0 AI engine driving dominant user acquisition ROI.
  • Vast scale in mobile gaming
    Vast scale in mobile gaming ecosystems creates data network effects.
  • Bull thesis
    The market is pricing AppLovin for structural perfection with implied 10-year growth rates near 30%.

§2 Cenário pessimista

A rapid structural decay in ad yield driven by major OS privacy updates (e.g., Apple iOS, Google Android) completely bypassing Axon's predictive modeling edge, compressing margins from 75% down to 20% industry averages.

Como esta tese pode falhar

OS Privacy Blackout

15%· Low

Apple or Google enforce strict deterministic blocking of cross-app data sharing, blinding Axon 2.0's predictive capabilities.

FV impact
-60% to intrinsic value
Trigger
12-24 months

Mega-Cap Tech Encroachment

25%· Medium

Meta or Google deeply subsidize off-network gaming user acquisition, compressing AppLovin's take rates to near zero.

FV impact
-40% to intrinsic value
Trigger
24-36 months

Mobile Gaming Market Contraction

20%· Medium

A structural stagnation in mobile gaming spending post-pandemic leads to a persistent ad recession for developers.

FV impact
-30% to intrinsic value
Trigger
12-36 months
Sinais de alerta antecipado para monitorar
MétricaAtualLimite de gatilho
Consecutive quarters of declining ROAS reported by top gaming publishers.MonitorDeterioration versus the report thesis
Significant operating margin compression below 65% on aggressive R&D and marketing spend.MonitorDeterioration versus the report thesis
Deceleration in Axon 2.0 adoption rates across non-gaming and CTV segments.MonitorDeterioration versus the report thesis
Regulatory action targeting AppLovin's MAX real-time bidding auction transparency.MonitorDeterioration versus the report thesis
Departure of key AI/ML engineering talent essential for Axon algorithm updates.MonitorDeterioration versus the report thesis

§3 Histórico financeiro

Demonstração de resultados — últimos seis períodos
ItemT−0T−1T−2T−3CAGR
Período2022-12-312023-12-312024-12-312025-12-31Trend
Receita$2.82B$1.84B$3.22B$5.48B+24.8%
Lucro bruto$1.56B$1.49B$2.70B$4.82B+45.6%
Lucro operacional$-47.8M$772.4M$1.91B$4.15B
Lucro líquido$-192.7M$357.2M$1.58B$3.33B
LPA (diluído)$-0.52$0.98$4.53$9.75
EBITDA$513.8M$1.26B$2.38B$4.35B+103.9%
P&D$507.6M$333.8M$374.7M$226.5M-23.6%
SG&A$1.10B$379.0M$417.8M$437.2M-26.5%

Pontuações de qualidade

Piotroski F-score
9 / 9
Composto de qualidade 0–9
Altman Z-score
21.92
Risco de falência (>3 seguro)
Beneish M-score
-2.45
Risco de manipulação de lucros
OCF / Lucro líquido
1.19×
>1 indica alta qualidade dos lucros
Limite de qualidade contábil
Pass
Limite ajustado ao setor
ROIC
57.9%
Retorno sobre o capital investido
Seção 3

Numbers analysis

Alocação de capital

Capital allocation should be evaluated against reinvestment needs, balance-sheet strength, and shareholder returns.

Assinantes individuais — a partir do §411 seções a mais

Leia a análise completa — 11 seções a mais.

Competitive moat, industry cycle, peer comparison, intrinsic valuation, sensitivity, scenarios, earnings decision tree, position management, investor perspectives, scorecard, and final recommendation.

Relatório completo para cada ticker coberto
24 meses de arquivo de classificações
Briefings da lista de acompanhamento + alertas de mudança de classificação
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FAQ

APP — frequently asked questions

  1. Based on our latest analysis, APP looks meaningfully overvalued. The current price is $469 versus a composite fair-value midpoint of $348 (range $223–$481), which implies roughly 25.8% downside to the midpoint.
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