Future of CRM: Money Stockers Analysis and 2025-2026 Forecast

CRM Stock Analysis for Money Stockers

Introduction

Our report delves into Salesforce, Inc. (CRM), a company active in the Software – Application field (Technology sector). The latest price recorded on 2025-05-20 stands at $288.06, reflecting a conflicted technical stance, caught between major moving averages. Such positioning often points to a period of consolidation or a potential battle between short-term buyers and long-term sellers. Valued by the market at roughly $268.46 B, CRM represents a significant player in its field.

This report offers a multi-faceted analysis of Salesforce, Inc. (CRM), integrating technical signals, fundamental data, and forward-looking forecasts. The aim is to provide investors with a balanced perspective on the stock’s current market standing, potential risks (see Risk Factors), and future performance outlook.

Company Snapshot

Its business model centers around: Salesforce, Inc. provides customer relationship management (CRM) technology that connects companies and customers together worldwide. The company offers Agentforce, an agentic layer of the salesforce platform; Data Cloud, a data engine; Industries AI for creating industry-specific AI agents with Agentforce ; Salesforce Starter, a suite of solution for small and medium-size business; Slack, a workp…

Metrics Summary

Current Price$288.06
1-Month Forecast$324.49
1-Year Forecast$354.11 (+22.9%)
Technical Sentiment Neutral-Bullish
Volatility (30d Ann.)29.3% 📉
Above SMA 50$265.43
Below SMA 200$306.96
Green Days (30d)18/30 (60%)

Here’s a quick overview of CRM’s key metrics. Currently priced at $288.06, CRM has a model-based 1-year forecast around $354.11 (a +22.9% potential change). The technical picture shows a Neutral-Bullish bias (Above SMA 50, Below SMA 200). Recent volatility (29.3%) quantifies price fluctuations. Further details on the technical and fundamental aspects are explored below.

Detailed Forecast Table

The detailed month forecast below outlines the model’s expectations for CRM’s price evolution ($280.66 to $424.40). It includes projected ranges (Min, Avg, Max), potential ROI based on the average projection versus the current price, and a derived model signal for each period.

Over the forecast horizon (2025-05 to 2026-05), CRM’s price is projected by the model to fluctuate between approximately $280.66 and $424.40.

The projected price range remains relatively consistent (from $281.67 – $281.67 to $312.07 – $395.41), implying stable forecast uncertainty.

Month (Period) Min. Price Avg. Price Max. Price Potential ROI vs Current ($288.06) Model Signal
2025-05 $281.67 $281.67 $281.67 -2.2% Hold/Neutral
2025-06 $283.72 $323.00 $362.29 12.1% Consider Buy
2025-07 $280.66 $324.49 $380.36 12.6% Consider Buy
2025-08 $294.81 $334.11 $380.78 16.0% Consider Buy
2025-09 $301.89 $339.10 $389.44 17.7% Consider Buy
2025-10 $299.90 $341.86 $379.97 18.7% Consider Buy
2025-11 $296.62 $352.43 $396.55 22.3% Consider Buy
2025-12 $314.83 $361.87 $396.99 25.6% Consider Buy
2026-01 $336.61 $367.53 $401.78 27.6% Consider Buy
2026-02 $340.12 $372.14 $412.70 29.2% Consider Buy
2026-03 $332.77 $371.18 $416.54 28.9% Consider Buy
2026-04 $326.89 $362.08 $424.40 25.7% Consider Buy
2026-05 $312.07 $354.11 $395.41 22.9% Consider Buy

Model forecasts like these are estimates with built-in uncertainty. They depend on current data and assumptions, which can change. Actual prices are not guaranteed.

Total Valuation

Total valuation metrics offer a broader perspective beyond market capitalization. Looking beyond market cap, the Enterprise Value (EV), currently $266.49 B, offers a broader view of CRM’s value by including debt and cash. Relating this EV to performance, the EV/Revenue multiple stands at 7.14x, and the EV/EBITDA multiple is 24.27x, gauging value against sales and core operational earnings respectively. These ratios help assess the company’s valuation relative to its sales and operating earnings. Key upcoming dates include the next earnings announcement (Est: 2025-05-28) and the ex-dividend date (2025-04-10).

Market Cap $268.46 B
Enterprise Value (EV TTM) $266.49 B
EV/Revenue (TTM) 7.14x
EV/EBITDA (TTM) 24.27x
Next Earnings Date 2025-05-28
Ex-Dividend Date 2025-04-10

Profitability Growth

This section examines CRM’s ability to generate profit and expand its business. Profitability is reflected in margins: Gross (77.19%), Operating (21.20%), and Net (16.35%). The company’s recent growth trajectory shows Revenue up 7.60% and Earnings up 19.50% YoY. Context for these margin and growth numbers comes from comparing them to historical data 📜 and industry rivals 👥. These are key indicators of financial performance and future potential.

Profit Margin (TTM) 16.35%
Operating Margin (TTM) 21.20%
Gross Margin (TTM) 77.19%
EBITDA Margin (TTM) 29.40%
Revenue (TTM) $37.90 B
Revenue Growth (YoY) 7.60%
Gross Profit (TTM) $29.25 B
EBITDA (TTM) $11.14 B
Net Income (TTM) $6.20 B
Earnings Growth (YoY) 19.50%

Analyst Insights

Here’s the consensus from Wall Street analysts on CRM. The average recommendation is ‘Buy’. This consensus is based on opinions from 44 analyst(s). Targets average $364.18 (within a range of $243.00 – $442.00). Relative to the current price ($288.06), the mean analyst target ($364.18) points to approximately 26.4% upside. This reflects overall analyst sentiment on the stock’s outlook.

Recommendation: Buy
Mean Target Price: $364.18
High Target Price: $442.00
Low Target Price: $243.00
Number of Analyst Opinions: 44

Technical Analysis Summary

Overall Technical Sentiment: Neutral-Bullish

The following technical analysis summary for CRM, based on data up to 2025-05-20, outlines key indicators related to trend, momentum, and volatility. Detailed charts typically provide visual confirmation of these signals.

  • Trend: Possible Bottoming / Near-term Upside, as the price ($288.06) crosses the 50d SMA but faces resistance near the 200d, hinting at a possible reversal attempt.
  • Momentum (RSI): ⚠️ 74.2 (Stretched), suggesting the rally might be overextended and vulnerable to a pullback.
  • Momentum (MACD): Line (6.782) above Signal (6.619) (Bullish Crossover), with positive Histogram, confirming strengthening bullish momentum.
  • Volatility (BBands): Price within Bands, suggesting price is within its recent statistical boundaries. Keep an eye on potential breakouts or pullbacks to the middle band.
  • Support/Resistance (30d): Key near-term levels identified around $232.77 (support) and $296.05 (resistance). Price action near these zones often dictates the next directional move.

Moving Average Details

SMA 20: $281.67 (Above)
SMA 50: $265.43 (Above)
SMA 100: $279.96 (Above)
SMA 200: $306.96 (Below)

Technical signals are based on historical data and aren’t foolproof predictors. Integrate technical views with fundamental research and sound risk management.

Short Selling Info

Short selling data provides a measure of negative sentiment or bets against CRM. Short selling activity is measured by Short % of Float (1.37%) and Days to Cover (1.80x). The current level is considered low. This implies low bearish sentiment and suggests limited short squeeze potential. A low Short Ratio (1.80x) means covering is fast, which might reduce the impact of any squeeze.

Shares Short $13 M
Short Ratio (Days To Cover) 1.80x
Short % of Float 1.37%
Shares Short (Prior Month) $12 M
Short Date 2025-04-30

Stock Price Statistics

This section summarizes CRM’s stock price characteristics, including its sensitivity to market movements, historical trading range, recent price fluctuation intensity, and typical trading volume. Understanding price action involves Beta (1.42x), the 52-week span ($212.00 – $369.00), current volatility (29.3%), and trading volume (3m Avg: 6,891,436). Beta (1.42x) suggests the stock is more volatile than the overall market. Recent volatility (29.3%) is moderate, suggesting average price fluctuations.

Beta 1.42x
52 Week Change 4.09%
S&P500 52-Week Change 10.13%
52 Week High $369.00
52 Week Low $212.00
50-Day Moving Average $270.20
200-Day Moving Average $295.09
Average Volume (10 day) 5,552,340
Average Volume (3 month) 6,891,436
Volatility (30d Ann.) 29.3% 📉

Conclusion Outlook

Short-Term Technical Snapshot

  • Overall Technical Sentiment: Neutral-Bullish
  • Price Trend vs MAs: mixed (above SMA50, below SMA200)
  • ⚠️Momentum (RSI): Overbought (74.2)
  • Momentum (MACD): Bullish Crossover
  • Volatility (BBands): Within Bands
  • 📊Support / Resistance (30d): ~$232.77 / ~$296.05

Longer-Term Fundamental & Forecast Outlook

  • 1-Year Avg. Forecast: ~+22.9% avg. change to ≈$354.11
  • Fundamental Health: Assessment Incomplete (ROE: 10.26%, D/E: 19.73x)
  • Valuation Snapshot: Appears Moderate (Fwd P/E: 25.14x), P/FCF: 18.90x 💵
  • 📈Recent Growth (YoY): Positive (Rev: 7.60%, Earn: 19.50%)
  • Analyst Consensus: Buy (Target: $364.18)
  • 💸Dividend: 59.00% Yield (Payout: 25.16%)

Overall Assessment & Outlook

Considering both technical momentum and fundamental drivers, CRM exhibits Neutral-Bullish technical sentiment alongside moderate fundamental health. Valuation appears Appears Moderate (Fwd P/E: 25.14x), P/FCF: 18.90x 💵. Looking out one year, the forecast implies potential upside (+22.9%) with an average target near ≈$354.11. These observations should be assessed alongside specific risk factors mentioned previously and their own financial objectives.

Important: This analysis synthesizes model outputs and publicly available data for informational purposes only. It is not investment advice. Market conditions change rapidly. Always conduct thorough independent research and consult a qualified financial advisor before making investment decisions.

Risk Factors

Investing in CRM involves various risks. This section outlines potential factors identified through data analysis and general market considerations. It is not exhaustive.

  • ⚠️ General market downturns pose a risk to the share price.
  • ⚠️ Performance is subject to risks inherent in the Software – Application industry and Technology sector.
  • ⚠️ Macroeconomic factors like inflation and interest rate changes present potential risks.
  • ⚠️ Specific news or developments related to the company could affect its stock.

Report Information and Disclaimer

Data Sources: Yahoo Finance API (via yfinance library), FRED Economic Data (via pandas_datareader or fallback).

Limitations:The accuracy of the data depends on the source providers that include Yahoo Finance and FRED. Technical market indicators always operate with a delay because of their design. This document operates with past data because it have not real-time functionality.

Disclaimer: This report is generated for informational purposes only and does not constitute financial, investment, or trading advice, nor a recommendation or solicitation to buy, sell, or hold any security. All investments involve risk, and past performance is not indicative of future results. Market conditions are volatile. Readers should conduct their own thorough due diligence and consult with a qualified financial professional before making any investment decisions. The creators of this report assume no liability for any actions taken based on the information provided herein.

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