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Salesforce, Inc. (CRM)

Technology · Software—Application · NYSE

Why is CRM moving?

CRM is up 3.10% today, in line with its broader uptrend.

Recent coverage: Can You Make Money Off Salesforce Stock Now?

Business overview

  • The company operates in the Software—Application industry within the Technology sector.
  • Market capitalization stands at $219,885,010,000.

These characteristics highlight a large, established enterprise player positioned within a major technology sub-sector.

Bull case

Salesforce could outperform if its strong free cash flow margin of 34.7% and expanding forward earnings drive multiple expansion from a forward P/E of 14.34. Continued disciplined cost management could further enhance operating margins from the current 20.1% level.

Bear case

Downside risks include constrained short-term liquidity, evidenced by a current ratio of 0.76, combined with moderating momentum indicated by an RSI of 39.62. Any unexpected slowdown in software demand could pressure the 9.6% revenue growth rate.

CRM’s Investru Score changed -2.5 points recently. Want to know exactly what changed and why? That’s a Pro feature →

Score breakdown

Financial Quality
69
Growth
44
Profitability
66
Balance Sheet
69
Valuation
71
Momentum
61

Score history

-2.5 over the last 32 days, driven mainly by momentum (-29).

Financial quality

  • Return on invested capital sits at 10.7%.
  • Return on equity is 12.6%.
  • Free cash flow margin reaches 34.7%.
  • Earnings quality is measured at 2.01.

Together, these metrics indicate healthy cash generation capabilities relative to earnings alongside moderate capital returns.

ROIC
10.7%
ROE
12.6%
FCF Margin
34.7%
Free Cash Flow (TTM)
$14.4B
Earnings Quality (OCF ÷ Net Income)
2.0x

Valuation

  • Price-to-earnings ratio is 22.89.
  • Forward price-to-earnings ratio is 14.34.
  • Trailing PEG ratio is 1.01.
  • Forward PEG ratio is 0.63.
  • Median PEG ratio is 0.82.
  • Enterprise value to EBITDA is 17.4.
  • Price-to-sales ratio is 5.12.
  • Free cash flow yield is 4.8%.

These valuations suggest the stock trades at reasonable multiples relative to its earnings outlook and cash generation.

P/E (TTM)
22.9x
Forward P/E
14.3x
PEG (P/E ÷ EPS Growth)
1.0x
Company Median PEG
0.8x
Price / Sales
5.1x
EV / EBITDA
17.4x
FCF Yield
4.8%

Key risks

  • A current ratio of 0.76 indicates potential short-term liquidity constraints.(Probability: High · Impact: Medium)
  • Revenue growth of 9.6% year-over-year reflects a slower expansion phase for a large software enterprise.(Probability: Medium · Impact: Medium)
  • A relative strength index of 39.62 highlights weakening near-term momentum.(Probability: Medium · Impact: Low)

Latest earnings

Q2 FY27 EPS
$4.29
Estimate
$3.15
Surprise
+36.3%
  • EPS growth year-over-year is 22.6%.
  • Earnings quality is 2.01.

These figures point to expanding earnings accompanied by strong cash conversion underlying the reported profits.

SEC filings

Event filings (8-K) aren't covered by this page's data source yet — only 10-K/10-Q are shown above.

Market cap $219.9B · 52-week range $146.32–$269.11 · market data as of Oct 1, 2026, 4:00 PM ET · latest SEC filing: 2017-03-06

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Analyze CRM with Investru AI

Not investment advice. Investru AI summarizes public data and AI-generated analysis for informational purposes only.