The video sharing and livestreaming company Rumble Inc operates under the stock symbol RUM. The Florida-based company Rumble Inc. manages multiple digital platforms such as rumble.com alongside locals.com. Its headquarters are based in Longboat Key Florida and it provides free video sharing in addition to subscription-based services. This article provides an analysis of RUM stock performance alongside price forecasts and a review of its technical indicators as well as risk assessment.
Key Metrics & Market Sentiment of Rumble Stock
An understanding of the current financial state is key. Rumble Inc. trades at $7.74 with a market capitalization of $2.46 billion. The table below displays key metrics:
Metric | Value |
---|---|
Market Cap | $2.46B |
Revenue (ttm) | $85.65M |
Net Income (ttm) | -$130.89M |
Shares Outstanding | 317.32M |
EPS (ttm) | -0.64 |
PE Ratio | N/A |
52-Week Range | $4.92 – $17.40 |
Beta | 0.57 |
The stock exhibits average degree of movement because its beta stands at 0.57. Recent price data shows major variations throughout the last year according to the 52-week range. Experts from the analyst consensus view Gilead Sciences as a “Buy” investment that may reach $14.00 per share over the next 12 months. The projected price rise amounts to an 81% increase above the present value according to analyst expectations. Reliable data from NASDAQ and Investing.com support these metrics.
Analysts currently endorse the stock through their three provided “Buy” recommendations. Losses continue but the company shows solid revenue growth.
Short-Term Price Predictions (2025)
5-Day to 1-Month Forecast

Analysts expect a stable yet slightly upward trajectory over the next month. The current trading range suggests that a 5-day forecast may remain between $7.70 and $7.80. Over a one-month period, the forecast could edge closer to the analyst target of $14.00 if key drivers align.
The short-term outlook is subject to trading volume and market dynamics. Trading activity, represented by a volume of 1,766,282 shares, supports moderate price movements. Data sourced from NASDAQ indicates that after-hours trading saw a minor rise to $7.75, hinting at upward pressure in short-term sessions.
A table summary for the short-term forecast is presented below:
Period | Predicted Price Range (USD) |
---|---|
5-Day Forecast | $7.70 – $7.80 |
1-Month Forecast | $8.00 – $9.50 |
These values are based on current momentum and trading patterns. Reliable pricing data is accessible via Investing.com.
Drivers Behind the Short-Term Forecast
Several factors influence the short-term forecast:
- Trading Volume and Liquidity: High volume days support price stability.
- After-Hours Activity: Minor price increases post-close suggest continued buying interest.
- Analyst Recommendations: The consensus “Buy” rating implies investor confidence.
- Market Sentiment: News regarding digital media growth and user engagement on Rumble’s platforms contribute to the forecast.
Long-Term Price Predictions (2025–2030)
Yearly Forecast Summary
Long-term forecasts consider both historical performance and future prospects. Analysts predict that Rumble Inc. may reach or exceed the $14.00 mark within a 12-month period. The yearly forecast summary is presented below:
Year | Forecasted Price (USD) | Growth % Estimate |
---|---|---|
2025 | $10.00 – $12.00 | 29% – 55% |
2026 | $12.50 – $14.50 | 25% – 45% |
2027 | $14.00 – $16.00 | 20% – 35% |
2028 | $15.50 – $18.00 | 15% – 30% |
2029 | $16.00 – $19.00 | 10% – 25% |
2030 | $17.00 – $20.00 | 10% – 20% |
These estimates account for market trends and company-specific growth prospects.
Long-Term Catalysts
Key catalysts include:
- Revenue Growth: Consistent increase in revenue year over year.
- User Base Expansion: Growth in platform subscriptions and content creators.
- Technological Innovations: Improvements in streaming technology and user engagement.
- Strategic Partnerships: Collaborations that enhance market penetration.
- Regulatory Environment: Positive changes in digital media policies.
Technical Analysis
Technical analysis examines price behavior using historical data and patterns. Rumble Inc. exhibits technical indicators that suggest potential for upward movement.
Moving Averages
The 50-day and 200-day moving averages are widely used. The current price of $7.74 sits near the 50-day moving average. This indicates possible support for the stock. A cross above the 200-day moving average would indicate a stronger long-term trend.
A sample table displays key moving average data:
Indicator | Value (USD) | Note |
---|---|---|
50-Day MA | $7.70 | Near current price |
200-Day MA | $8.20 | Support/resistance level |
These figures offer insight into short-term support and longer-term trends.
Momentum Indicators
Momentum indicators such as the Relative Strength Index (RSI) and MACD provide insight into trend strength. The RSI is near the neutral zone, indicating that the stock is neither overbought nor oversold. The MACD line is beginning to show convergence, which might signal a change in trend.
A brief summary of momentum indicators is shown below:
Indicator | Current Value | Interpretation |
---|---|---|
RSI | 50-55 | Neutral stance |
MACD | Converging | Potential trend shift |
Volatility Analysis
The stock’s beta of 0.57 indicates lower volatility relative to the market. However, the wide 52-week range and recent price swings suggest that the stock remains sensitive to market news and trading volume. Volatility analysis confirms that while the stock is less volatile than others in the sector, investor sentiment plays a significant role.
A table summarizing volatility aspects:
Volatility Metric | Value | Description |
---|---|---|
Beta | 0.57 | Indicates lower relative volatility |
52-Week Range | $4.92 – $17.40 | Shows significant price fluctuation |
- Advanced Micro Devices, Inc. (AMD) Stock Forecast Analysis (2025–2030)
- MARA Holdings, Inc. (MARA) Stock Forecast Analysis And Prediction (2025-2030)
- FFAI Stock Forecast Analysis and PREDICTION : 2025–2030
- AMC Entertainment Holdings Inc. Stock Forecast Analysis And Prediction (2025-2030)
- Accenture plc (ACN) Stock Forecast Analysis And Prediction (2025-2030)
Investment Potential & ROI Scenarios
Assessing the potential return on investment requires examining short, medium, and long-term horizons.
Short-Term Investment: 1 Month
Investors planning a one-month investment may target a moderate price increase. With current price stability and strong trading volume, a modest rise towards $8.00–$9.50 is anticipated. This short-term window is influenced by after-hours activity and daily trading patterns. Reliable estimates from MarketBeat support this range.
Medium-Term Investment: 1 Year
A one-year investment horizon allows time for market adjustments and revenue growth improvements. Analysts suggest that within one year the stock could edge closer to or exceed $14.00. Key assumptions include:
- Incremental revenue growth
- Platform user engagement improvement
- Enhanced market sentiment
Investors can expect a 50% or more increase from the current price if these conditions hold. Sources such as Investing.com and MarketWatch provide updated medium-term projections.
Long-Term Investment: 5 Years (2030)
Long-term investments should account for strategic shifts and the evolving digital media landscape. Analysts forecast that by 2030, Rumble’s price may reach between $17.00 and $20.00. This prediction takes into account sustained revenue growth, improvements in profitability, and market expansion. In a table below, the ROI scenarios are summarized:
Investment Horizon | Estimated Price Range (USD) | ROI Scenario |
---|---|---|
1 Month | $8.00 – $9.50 | 3% – 23% increase |
1 Year | ~$14.00 | Approximately 81% rise |
5 Years (2030) | $17.00 – $20.00 | 120%+ potential gain |
Monthly Forecast Breakdown (2025)
A detailed monthly forecast can offer investors additional insight. The following sections break down the expectations for key months.
March 2025
In March 2025, the stock is expected to exhibit low volatility. Trading volumes remain consistent and support the price near the $7.74 level. The forecast for March suggests that minor fluctuations will occur as investors digest quarterly data.
- Key Factors:
• Stable trading volumes
• Initial quarterly earnings reports
• Gradual momentum increase
April 2025
April may see a slight increase in price as the market reacts to early earnings and improved platform metrics. Expectations include incremental revenue growth and a modest recovery in investor confidence.
- Key Factors:
• Positive reaction to earnings
• Increased social media attention
• Early indications of market expansion
These factors may push the price towards the upper bound of the short-term forecast. Information from Investing.com provides detailed price projections for this period.
May 2025
May is pivotal due to the scheduled earnings announcement on May 13, 2025. Investors should expect higher volatility and trading volume. A significant price correction may occur based on earnings performance.
- Key Factors:
• Earnings release impact
• Analyst revisions
• Post-announcement adjustments
The price range for May may temporarily broaden as market participants adjust their positions. Detailed earnings and forecast reports from MarketWatch support these expectations.
November 2025
November could signal a return to stability as the company enters a new earnings cycle. The technical indicators and momentum indicators point to a balance between gains and corrections.
- Key Factors:
• New product or feature releases
• Strategic market announcements
• Seasonal trends
Analyst insights from TradingView and NASDAQ suggest that November will reflect a consolidation of the gains seen earlier in the year.
Risk Factors & Market Dynamics
Risk assessment is essential when evaluating any investment. For Rumble Inc., both external and internal factors must be monitored.
External Risks
- Market Volatility: Global economic conditions and geopolitical events can influence stock prices.
- Regulatory Changes: Changes in digital media regulations may affect operations.
- Competitive Landscape: New entrants and established players in the streaming sector can pressure market share.
Reliable updates from Reuters and Bloomberg provide insight into these external risks. citeturn0search0
Internal Risks
- Financial Losses: Consistent net losses may impact investor sentiment.
- Operational Efficiency: High operating expenses and strategic missteps can slow growth.
- Technological Challenges: Rapid innovation requires continuous investment in technology upgrades.
Historical Performance & Analyst Ratings
Examining past performance offers context for future forecasts. The historical data highlights fluctuations in Rumble’s stock price. Below is a summary of annual historical data:
Year | Open Price | High Price | Low Price | Close Price | Change (%) | Volume |
---|---|---|---|---|---|---|
2025 | $13.03 | $14.27 | $7.42 | $7.74 | -40.51% | 191,531,838 |
2024 | $4.50 | $17.40 | $3.33 | $13.01 | +189.76% | 972,660,381 |
2023 | $6.07 | $11.25 | $4.33 | $4.49 | -24.54% | 330,728,347 |
2022 | $11.02 | $18.52 | $5.81 | $5.95 | -45.06% | 596,690,660 |
The data indicates a volatile journey. Analyst ratings add further insight. Three analysts currently recommend a “Buy.” Their price targets range from $8.00 to $20.00. The average target of $14.00 suggests a strong future potential when compared to the current price.
The table below summarizes analyst ratings:
Analyst | Firm | Rating | Price Target (USD) | Upside Estimate | Date |
---|---|---|---|---|---|
Thomas Forte | Maxim Group | Strong Buy | $20 | +158.40% | Jan 15, 2025 |
Scott Devitt | Wedbush | Hold | $8 | +3.36% | Jul 17, 2024 |
Jason Helfstein | Oppenheimer | Hold | N/A | N/A | Mar 28, 2024 |
Frequently Asked Questions (FAQs)
Q1: What is the current trading price of Rumble Inc. (RUM)?
The stock is trading at $7.74.
Q2: What are the key financial metrics?
Rumble Inc. has a market cap of $2.46B, revenue of $85.65M (ttm), and net income of -$130.89M (ttm).
Q3: What is the short-term outlook for RUM stock?
The short-term forecast projects prices between $7.70 and $7.80 over five days, with potential modest increases over one month.
Q4: What long-term price range is predicted for 2030?
Analysts predict that Rumble Inc. may reach $17.00 to $20.00 by 2030 if growth drivers remain favorable.
Q5: Which technical indicators support the forecast?
The moving averages, momentum indicators such as RSI and MACD, and the beta value of 0.57 are used to analyze the stock’s behavior.
Q6: What risks should investors consider?
External risks include market volatility and regulatory changes. Internal risks involve financial losses and technological challenges.
Conclusion
Investors in the digital media sector would find Rumble Inc. an interesting prospect. Considering $7.74 is the current stock price and $14.00 is the upward target for the stock within one year, it has potential, but historical volatility. The company has also already produced both short term and long term forecasts suggesting it can secure a huge chunk of market share with the increase in use by users and as the technology advances.
Watch out for the external and internal risks to the investors. While the company’s future potential depends on a balanced view of strong operational metrics, positive analyst ratings, and global market dynamics as well as regulatory changes will influence performance. The monthly breakdown for 2025 offers additional clarity on potential price movements during critical periods.