Introduction and Overview
This report focuses on Cloudflare, Inc. (NET), a major player in the Software – Infrastructure industry within the Technology sector. As of May 01, 2025, NET trades at $124.53, reflecting its current strength relative to its moving averages. The company holds a market capitalization of approximately $43.16 B.
This detailed analytical report aims to predict stock prices along with technical examinations while providing future forecasting for 2025-2026. This report combines both historical price-related technical indicators and fundamental data examination for creating an extensive market performance forecast.
Brief Overview
Cloudflare, Inc. operates as a cloud services provider that delivers a range of services to businesses worldwide. The company provides an integrated cloud-based security solution to secure a range of combination of platforms, including public cloud, private cloud, on-premises, software-as-a-service …
Key Metrics and Forecast Summary
The 1-Year forecast of $161.35 (+29.6%) suggests modest potential upside. The 74.0% annualized volatility indicates high risk (price fluctuation). Price is above both SMA50 ($113.02) and SMA200 ($116.18), signaling bullish trends.
Detailed Forecast Table
The table below outlines the forecasted price range (Minimum, Average, Maximum) for NET stock on a month basis. ‘Potential ROI’ (Return on Investment) is calculated by comparing the forecasted ‘Average’ price against the current stock price ($124.53). ‘Action Signal’ provides a simplified interpretation based on this ROI: ‘Buy’ if ROI > +2%, ‘Short’ if ROI < -2%, and 'Hold' otherwise. The signals originate from the forecast model prediction data exclusively.
Over the forecast period, the price is projected to fluctuate between approximately $93.05 and $216.02.
The widening forecast range from $124.53 – $124.53 initially to $126.92 – $192.58 towards the end of the forecast period reflects increasing uncertainty or expected volatility over time.
Month | Min. Price | Avg. Price | Max. Price | Potential ROI | Action Signal |
---|---|---|---|---|---|
2025-05 | $124.53 | $124.53 | $124.53 | ● 0.0% | Hold |
2025-06 | $93.05 | $112.36 | $129.88 | ▼ -9.8% | Short |
2025-07 | $98.55 | $119.38 | $144.18 | ▼ -4.1% | Short |
2025-08 | $103.75 | $126.28 | $143.91 | ▲ 1.4% | Hold |
2025-09 | $101.55 | $127.44 | $151.39 | ▲ 2.3% | Buy |
2025-10 | $109.34 | $131.86 | $154.90 | ▲ 5.9% | Buy |
2025-11 | $121.88 | $149.92 | $190.24 | ▲ 20.4% | Buy |
2025-12 | $136.66 | $165.01 | $199.09 | ▲ 32.5% | Buy |
2026-01 | $119.26 | $156.39 | $189.38 | ▲ 25.6% | Buy |
2026-02 | $127.24 | $161.21 | $201.78 | ▲ 29.5% | Buy |
2026-03 | $122.83 | $164.38 | $212.31 | ▲ 32.0% | Buy |
2026-04 | $117.50 | $161.35 | $216.02 | ▲ 29.6% | Buy |
2026-05 | $126.92 | $157.14 | $192.58 | ▲ 26.2% | Buy |
Company Profile
Business Summary
Cloudflare, Inc. operates as a cloud services provider that delivers a range of services to businesses worldwide. The company provides an integrated cloud-based security solution to secure a range of combination of platforms, including public cloud, private cloud, on-premises, software-as-a-service applications, and Internet of things (IoT) devices; and website and application security products comprising web application firewall, bot management, distributed denial of service protection, API security, SSL/TLS encryption, script management, security center, and rate limiting products. It also offers website and application performance solutions, such as content delivery, load balancing, DNS, agro smart routing, video stream delivery, web optimization, cache reserve, cloudfare waiting room, and cloudfare data localization suite; SASE platform combines network services and Zero Trust security products that provides a cloud-based network-as-a-service; network services, including magic WAN, magic transit, magic firewall, cloudflare network interconnect, and spectrum. In addition, the company provides zero trust security services, including cloudflare access and gateway, remote browser isolation, cloud access security broker, cloud email security, and data loss prevention products. Further, it provides developer-based solutions comprising workers AI, vectorize, AI gateway, cloudflare workers, cloudflare pages, R2 object storage, workers KV, durable objects, D1, hyperdrive, cloudfare stream, cloudfare images, and cloudflare calls; and consumer offerings, such as 1.1.1.1, a DNS resolver, WARP, a virtual private network, and cloudfare registrar that secures registration and management of domain names. The company serves customers in the technology, healthcare, financial services, consumer and retail, industrial, and non-profit industries, as well as government. Cloudflare, Inc. was incorporated in 2009 and is headquartered in San Francisco, California.
Total Valuation
Total valuation metrics provide a broader view of the company’s worth, including debt and cash.
With an Enterprise Value of $42.76 B against its Trailing Twelve Months (TTM) revenue, NET’s EV/Revenue ratio stands at 24.73x, which is currently above the estimated industry average (~2.5x), suggesting a potential premium valuation.
Important upcoming dates: Next Earnings around 2025-05-08, Last Ex-Dividend Date was N/A.
Market Cap | $43.16 B |
Enterprise Value (EV TTM) | $42.76 B |
EV/Revenue (TTM) | 24.73x |
EV/EBITDA (TTM) | -1145.64x |
Next Earnings Date | 2025-05-08 |
Valuation Metrics
Stock valuation metrics enable investors to determine the price value relationship between stock market worth and earnings along with sales, book value and anticipated growth potential.
Forward P/E of 144.80x Price/Book of 41.04x Mentoring these financial metrics to industry standards as well historical company values generates deeper understanding.
Note: P/FCF (Price to Free Cash Flow) of 120.60x is another key valuation indicator. EV/EBITDA is often used for comparing companies with different capital structures.
Forward P/E | 144.80x |
Price/Sales (TTM) | 25.85x |
Price/Book (MRQ) | 41.04x |
EV/Revenue (TTM) | 24.73x |
EV/EBITDA (TTM) | -1145.64x |
Price/FCF (TTM) | 120.60x |
Financial Health
Companies need financial health indicators to determine their capability of handling short-term financial commitments (liquidity) and their ability to repay long-term debt (solvency) as well as their equity and asset return ratios.
- Debt/Equity ratio of 139.86x signals high leverage, indicating elevated financial risk.
- Current Ratio (2.86x) suggests adequate short-term liquidity. The Quick Ratio (2.76x) confirms reasonable liquidity.
- Return on Equity (ROE) of -8.71% indicates the company’s profitability relative to shareholder investments.
- Operating Cash Flow (TTM) stands at $380.43 M, demonstrating cash generated from core operations.
These metrics act as point-in-time measurements yet understanding long-term trends delivers better understanding. ROA (Return on Assets) does not appear frequently in these financial reports.
Return on Equity (ROE TTM) | -8.71% |
Return on Assets (ROA TTM) | -2.87% |
Debt/Equity (MRQ) | 139.86x |
Total Cash (MRQ) | $1.86 B |
Total Debt (MRQ) | $1.46 B |
Current Ratio (MRQ) | 2.86x |
Quick Ratio (MRQ) | 2.76x |
Operating Cash Flow (TTM) | $380.43 M |
Levered Free Cash Flow (TTM) | $357.84 M |
Financial Efficiency
Financial efficiency ratios evaluate organizational asset management and working capital control (such as inventory and receivables) for generating revenue and profits.
- Specific financial efficiency metrics were not readily available.
ROIC stands as an important measurement of total capital efficiency but analysts need full financial statements to generate this metric. Monitoring should focus on equal groups in the same market sector.
No specific data available for this section. |
Profitability and Growth
Profitability margins show how much profit is generated per dollar of sales at different stages (Gross, Operating, Net). Growth rates track the expansion of revenue and earnings over time.
- Recent revenue growth was 26.90% (Earnings growth N/A).
- Gross Margin (77.32%) appears strong, while Operating Margin (-7.40%) is low. Analyzing margin trends over time is important.
Business owners should measure margins by comparing them against industry competitors and past performance records. Stock value development depends heavily on sustainable growth.
Profit Margin (TTM) | -4.72% |
Operating Margin (TTM) | -7.40% |
Gross Margin (TTM) | 77.32% |
EBITDA Margin (TTM) | -2.16% |
Revenue (TTM) | $1.67 B |
Revenue Growth (YoY) | 26.90% |
Gross Profit (TTM) | $1.29 B |
EBITDA (TTM) | $-36.04 M |
Net Income (TTM) | $-78.80 M |
Dividends and Shareholder Returns
Stock dividends together with share repurchases constitute major methods that corporations use to redistribute wealth to their shareholders. Investors who focus on income require a thorough analysis of both yield ratios and dividend sustainability.
- Payout Ratio of 0.00% indicates a negative or zero, indicating dividends may not be covered by earnings.
- This dividend profile may appeal most to speculative income (risk) investors.
- Share buybacks (Yield: N/A) also contribute to total shareholder return.
Shareholders obtain a yield consisting of dividends and buybacks according to the equation Total Shareholder Yield = Dividend Yield + Buyback Yield. Raising dividends to full potential may temporarily restrict future dividend expansion possibilities. Check Ex-Dividend Date for eligibility.
Trailing Dividend Rate | $0.00 |
Trailing Dividend Yield | 0.00% |
Payout Ratio | 0.00% |
Technical Analysis
Summary based on data up to 2025-05-01. Detailed charts follow.
- Trend: Bullish Trend (Price > SMA50 & SMA200). Current Price: $124.53.
- Momentum (RSI): 76.7 (Overbought), suggesting potential pullback risk.
- Momentum (MACD): Line (3.04) above Signal (1.22) (Bullish Signal). Histogram is Positive (Strengthening Bullish).
- Volatility (BBands): Price within Bands, indicating normal volatility range.
- Support/Resistance (30d): ~$89.42 / ~$125.98.
Moving Average Values
Technical indicators analyze past price trends, not future guarantees.
Bollinger Bands Analysis
RSI Analysis
MACD Analysis
Historical Price & Volume
Historical closing price and volume. Range typically shows last 3 years.
Stock Price Statistics
The statistics helps you to understand the stock’s volatility along with market-related Beta value and performance range and trading liquidity.
- Beta is reported as 1.59x.
- Recent Volatility (30d Annualized) is 74.0%.
- The 52-Week Change of 35.75% reflects long-term price momentum.
Note: Beta > 1 indicates higher volatility than the market; Beta < 1 indicates lower. Average Volume shows typical daily trading activity.
Beta | 1.59x |
52 Week Change | 35.75% |
S&P500 52-Week Change | 9.97% |
52 Week High | $177.37 |
52 Week Low | $66.24 |
50-Day Moving Average | $121.72 |
200-Day Moving Average | $104.58 |
Average Volume (10 day) | 2,609,670 |
Average Volume (3 month) | 4,166,263 |
Volatility (30d Ann.) | 74.0% |
Short Selling Information
Short selling data indicates the level of bearish bets against the stock.
- Short interest at 2.17% of float suggests minimal bearish pressure.
- This level indicates low short squeeze risk.
- The Short Ratio (Days To Cover) is 1.5x, meaning it would take about that many days of average volume to cover all short positions.
Note: High short interest can increase volatility. The Short Ratio helps gauge how quickly short positions could theoretically be covered. Data as of 2025-04-15.
Shares Short | $6 M |
Short Ratio (Days To Cover) | 1.5x |
Short % of Float | 2.17% |
Shares Short (Prior Month) | $8 M |
Short Date | 2025-04-15 |
Risk Factors
Investing in NET involves various risks. This section outlines potential factors identified through data analysis and general market considerations. It is not exhaustive.
- ⚠️ RSI (76.7) is high (>70), suggesting potential overbought conditions.
- ⚠️ High Debt-to-Equity ratio (139.86x) indicates significant financial leverage risk.
- ⚠️ General market fluctuations and economic conditions can impact stocks in the Technology sector.
Analyst Insights and Consensus
Wall Street analysts provide ratings and price targets based on their assessment of the company’s prospects.
- The consensus recommendation from 30 analysts is ▲ Buy.
- Analysts’ mean target price of $139.01 implies potential 11.6% change from the current price ($124.53), suggesting analyst neutral outlook.
Note: Analyst opinions are subjective and can change. Look at the range of estimates (High/Low Target) and any recent revisions for more context.
Recent News and Developments
Recent news and developments can significantly impact stock performance and investor sentiment.
Conclusion and Outlook
Short-Term Outlook
- ▲Overall Technical Sentiment: Strong Bullish.
- ▲Price above key SMAs (50, 200), indicating bullish short/long-term trends.
- ⚠️Overbought (RSI: 76.7), potential for pullback.
- ▲MACD indicator shows Bullish momentum signal.
- ●Price is currently within normal volatility range.
- ℹ️Key levels to watch: Support ~$89.42, Resistance ~$125.98.
Long-Term Outlook (1 Year)
- ▲Model forecasts ~+29.6% average change over 1 year to ≈$161.35.
- ⚠️Valuation appears elevated (Fwd P/E: 144.80x). (Needs peer comparison).
- ▼Fundamental health appears Weak (ROE: -8.71%, Debt/Equity: 139.86x).
- ●Recent growth trajectory is mixed or unclear.
- ▲Analyst consensus: Buy.
Overall Assessment:
Overall assessment requires careful consideration of all factors. Technicals currently show Strong Bullish signals. Fundamentals appear Weak. The forecast suggests Potential Upside. Consider risks before investing.
This is an analysis report and not investment advice. Review all data and consult a professional.
Frequently Asked Questions
What is the NET stock forecast for the next year?
The current 1-year average price forecast for NET is approximately $161.35. This represents a potential change of +29.6% from the current price of $124.53. Keep in mind this is an estimate, and the actual price could fall within the forecast range (see table) or outside it due to market factors.
Will NET stock go up or down?
The 1-year forecast (+29.6% potential change) suggests the stock might go up on average. However, short-term movements can differ significantly based on technical factors (Strong Bullish) and market news. Refer to the detailed forecast table for projected monthly ranges.
Is NET a good stock to buy now?
Current technical sentiment is Strong Bullish (positive leaning). The stock is currently ⚠️ overbought (RSI: 76.7). The forecast shows a +29.6% potential 1-year change. However, 3 potential risk factor(s) were identified (see Risk section). This is not investment advice. Evaluate risks, fundamentals (like valuation, debt), and your own investment strategy. Consider consulting a financial advisor.
How volatile is NET stock?
The recent annualized volatility for NET is calculated at ⚠️ 74.0%, indicating high price fluctuations compared to typical market averages. Check the ‘Stock Price Statistics’ section for Beta comparison if available.
Is NET considered expensive based on P/E ratio?
The Trailing P/E ratio is ● N/A. This is considered N/A relative to typical benchmarks. Refer to the ‘Valuation Metrics’ section for Forward P/E and other ratios, ideally compared to industry peers for full context.
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