Hey there, fellow investors! Let’s talk about Airbnb, Inc. (ABNB), that familiar name in the travel services industry. As of early December 2025, ABNB stands as a significant player with a $71.63 billion market capitalization. When we look at a company like Airbnb, the big questions always come down to this: Is the current stock price a fair reflection of its value? And perhaps more importantly, is it geared up for sustainable growth in the years ahead?
It’s always a juggling act, isn’t it? Trying to figure out if it’s a smart move to invest in ABNB right now. This report is designed to cut through the noise and give you a clear picture of how Airbnb’s stock is performing in the dynamic market environment.
What’s Driving ABNB Performance Right Now?
The stock is currently trading at $116.99 as of the close on November 28, 2025. What’s interesting is that ABNB appears to be caught in a bearish trend, trading below both its 50-day and 200-day moving averages. This is a signal that many technical analysts watch closely.
Looking ahead, analysts project a somewhat stable, albeit mixed, outlook. The 1-year price target averages around $139.14, which could mean an 18.9% potential upside from current levels. However, it’s crucial to acknowledge the significant volatility here, coming in at 23.9% annualized. This suggests that while there might be upward potential, investors should be ready for some wide price swings.
Airbnb’s fundamental story is quite nuanced. On one hand, the company is enjoying solid revenue growth, up 9.70% year-over-year. This is a healthy sign of a growing business. On the other hand, it’s navigating an intensely competitive landscape within the travel sector, which always presents challenges to market share and pricing power.
Deep Dive into Airbnb’s Investment Landscape
We’re going beyond just the surface numbers here. Our goal is to break down ABNB’s stock from every angle, giving you the comprehensive insights you need to make a truly informed decision.
Here’s what we’ll uncover:
- Is now a good time to buy ABNB? Technical indicators are leaning “Bearish,” but the Relative Strength Index (RSI) is sitting neutrally at 37.1. Fundamentally, the company looks solid, supported by manageable debt levels and promising growth metrics.
- Can its core operations fuel future growth? Airbnb’s future growth trajectory will largely hinge on its performance within its core Travel Services operations and its strategic ability to fend off competitive pressures effectively.
- What are the biggest risks for ABNB investors? The company currently carries $2.28 billion in debt. While manageable, this could become more of a headwind in a high-interest-rate environment. Plus, competition is fierce, coming from both established industry giants and agile new entrants.
Forget the overly complicated jargon or the overly simplistic “just buy” advice you often hear. We’re here to provide clear, actionable information that benefits you, whether your investment horizon is long-term growth or you’re chasing quicker profits. So, is Airbnb, Inc. the right place to put your money, or are there underlying issues to approach with caution? Let’s dive into the data together.
ABNB Stock: Key Metrics & Investment Forecast Summary
Let’s quickly recap the essential figures for ABNB as we move into December 2025. These metrics give us a snapshot of where the stock stands right now and what the immediate future might hold.
| Metric | Value | Notes |
|---|---|---|
| Current Price | $116.99 | Live Market Price (as of Nov 28, 2025) |
| Price Targets & Forecasts | ||
| 1-Month Forecast | $119.46 | 📈 +2.1% Potential |
| 1-Year Forecast | $111.80 | 📉 -4.4% Potential |
| Analyst Mean Target | $139.14 | 📈 +18.9% Potential |
| Trend & Momentum | ||
| Trend | 📉 ▼ Bearish | Price < SMA 50/200 |
| RSI (14-day) | 37.1 | Neutral ⚖️ |
| MACD | 0.26 | 📈 Bullish Short-Term Trend |
| Key Technical Levels | ||
| Above SMA 50 | ❌ $121.94 | Current price is below this |
| Above SMA 200 | ❌ $128.18 | Current price is below this |
| 52-Week Range | $99.88 – $163.93 | 📏 |
| Volatility | ||
| Volatility (30d Ann.) | 23.9% | 🌊 Moderate-High |
| Beta (vs. Market) | 1.11x | ⚖️ Moderate |
| Green Days (30d) | 15/30 (50%) | 🟡 Balanced |
| Ownership | ||
| Institutional Ownership | 85.16% | 🏛️ Significant |
| Short % of Float | 4.37% | 😐 Moderate Bets |
Right now, ABNB’s stock is trading at $116.99. From a technical standpoint, we’re seeing a bearish pattern because the price is currently holding below both its 50-day moving average ($121.94) and its 200-day moving average ($128.18). This suggests that the stock has been facing some recent downward pressure, even though the MACD indicates a short-term bullish trend.
However, it’s not all doom and gloom. The Relative Strength Index (RSI) at 37.1 is sitting squarely in the neutral zone, which means the stock isn’t currently overbought or oversold. This implies a balanced momentum, and combined with the MACD’s bullish short-term signal, we might see some minor pullbacks before any potential upward movement begins.
Over the past year, ABNB’s stock has traded within a range of $99.88 to $163.93. This wide range tells us that investor sentiment has been quite mixed, reacting to various market conditions and company-specific news. The current price is trading roughly mid-range, suggesting that extreme swings might be less likely unless a major catalyst emerges.
Looking ahead, analysts are expecting modest growth, with a 1-year target of $111.80 (a potential -4.4% change) and a more optimistic average consensus target of $139.14 (a potential +18.9% upside). Interestingly, with 85.16% institutional ownership and a relatively low short interest of 4.37%, it seems that many large investors are betting on Airbnb’s long-term success rather than anticipating a significant decline.
Detailed ABNB Price Forecast Table (2025-2026)
Let’s dive into the specifics with a detailed monthly forecast. This table outlines the model’s expectations for ABNB’s price evolution, showing a potential range from $55.15 to $175.18 over the forecast horizon.
The projected price range generally remains quite consistent, moving from a tight range in November 2025 ($119.46 – $119.46) to a wider spread by November 2026 ($55.15 – $175.18). This implies that while there’s some stability in the near-term forecast, uncertainty tends to expand further out.
| Month (Period) | Min. Price | Avg. Price | Max. Price | Potential ROI vs Current ($116.99) | Model Signal |
|---|---|---|---|---|---|
| 2025-11 | $119.46 | $119.46 | $119.46 | ▲ 2.1% | Hold/Neutral |
| 2025-12 | $103.38 | $117.18 | $129.66 | ● 0.2% | Hold/Neutral |
| 2026-01 | $98.94 | $113.19 | $126.86 | ▼ -3.2% | Consider Short |
| 2026-02 | $105.54 | $120.94 | $139.58 | ▲ 3.4% | Consider Buy |
| 2026-03 | $113.42 | $127.19 | $138.83 | ▲ 8.7% | Consider Buy |
| 2026-04 | $108.49 | $126.22 | $141.29 | ▲ 7.9% | Consider Buy |
| 2026-05 | $94.48 | $118.69 | $135.70 | ▲ 1.4% | Hold/Neutral |
| 2026-06 | $90.40 | $112.07 | $130.04 | ▼ -4.2% | Consider Short |
| 2026-07 | $82.96 | $114.29 | $144.37 | ▼ -2.3% | Hold/Neutral |
| 2026-08 | $75.09 | $114.86 | $157.22 | ▼ -1.8% | Hold/Neutral |
| 2026-09 | $64.86 | $111.64 | $154.78 | ▼ -4.6% | Consider Short |
| 2026-10 | $60.19 | $111.80 | $169.08 | ▼ -4.4% | Consider Short |
| 2026-11 | $55.15 | $110.61 | $175.18 | ▼ -5.5% | Consider Short |
It’s important to remember that these model forecasts are simply estimates, and they come with inherent uncertainty. They are built on current data and specific assumptions, which can change rapidly in today’s market. What you see here is a projection, not a guarantee of future prices.
Airbnb, Inc. (ABNB) Company Profile & Business Overview
Let’s get a better handle on the company behind the stock. Airbnb, Inc. (ABNB) is a prominent player in the Consumer Cyclical sector, specifically within the Travel Services industry. The company boasts a market capitalization of $71.63 billion and employs approximately 7,300 people worldwide. If you’re looking for more details directly from the source, you can visit their official website at https://www.airbnb.com.
Airbnb’s Core Business Model Explained
To truly understand ABNB’s potential, we need to grasp its core business. Airbnb, Inc., along with its various subsidiaries, operates a global platform that connects hosts with guests. This platform allows hosts to offer unique stays and experiences to travelers all over the world. Whether it’s through their website or mobile devices, guests can easily book everything from a cozy room to an entire home, or even participate in local experiences. The company also offers gift cards, expanding its reach and revenue streams.
Originally known as AirBed & Breakfast, Inc., the company officially changed its name to Airbnb, Inc. in November 2010. Founded in 2007, Airbnb is headquartered in the vibrant city of San Francisco, California. Their innovative approach has truly revolutionized the hospitality industry.
ABNB Valuation: Market Cap, Enterprise Value, & Multiples
When we look at Airbnb, Inc.’s valuation, there are some interesting points to consider. While the company has a market capitalization of $71.63 billion, its enterprise value (EV) comes in lower at $62.22 billion. This difference is actually a good sign, reflecting a strong net cash position of approximately $9.41 billion. This financial cushion provides Airbnb with flexibility and resources for future investments and strategic moves.
The valuation ratios tell a compelling story. Trading at 5.15x revenue and 22.29x EBITDA, Airbnb, Inc. is valued at a premium compared to many of its industry peers. This premium often reflects the company’s strong market position, powerful brand recognition, and its innovative business model. However, it also means that the stock might have less room for error; essentially, investors are paying for quality, and quality rarely comes cheap in the stock market.
| Metric | Value |
|---|---|
| Market Cap | 71.63 B |
| Enterprise Value | 62.22 B |
| EV/Revenue (TTM) | 5.15x |
| EV/EBITDA (TTM) | 22.29x |
ABNB Share Statistics: Ownership, Float, and Short Interest
Understanding who owns a company’s shares and how much is available for trading can offer crucial insights into its market dynamics. For Airbnb, nearly all of the company’s 425 million shares are publicly available as float, meaning a significant portion isn’t locked up by insiders or restricted.
A high float generally allows investors to trade the stock without causing overly dramatic price shifts. However, it’s always a consideration that the company could issue more shares in the future, which might dilute the value of existing stock. Interestingly, executives and major shareholders own a relatively small amount of the company (1.50%), which still helps align their interests with those of public shareholders.
Meanwhile, the level of institutional ownership is quite substantial, standing at 85.16%. This significant institutional backing often provides a degree of stability and confidence in the stock, as large funds typically conduct extensive due diligence before investing.
Now, let’s consider the impact of short interest. With 18 million shares currently shorted, representing 4.37% of the float, there’s a noticeable level of bearish sentiment. Investors should keep an eye on changes in short interest; a sharp increase could signal growing doubt among bearish investors, while very low short interest during positive news might sometimes prevent a “short squeeze” scenario.
| Metric | Value |
|---|---|
| Shares Outstanding | 425 M |
| Implied Shares Outstanding | 612 M |
| Shares Float | 410 M |
| Insider Ownership | 1.50% |
| Institutional Ownership | 85.16% |
| Shares Short | 18 M |
| Short Ratio (Days To Cover) | 3.70x |
| Short % of Float | 4.37% |
| Shares Short (Prior Month) | 19 M |
| Short Date | 2025-11-14 |
ABNB Valuation Metrics: P/E, Price/Sales, and EV Ratios
Delving deeper into ABNB’s valuation, we can see that its Trailing P/E (Price-to-Earnings) ratio is 27.85x, with a Forward P/E of 26.00x. These figures suggest a premium valuation, indicating that the market anticipates continued strong growth from Airbnb. However, such a premium warrants careful consideration, as it implies high expectations for future performance.
Furthermore, Airbnb’s Price/Sales ratio of 6.00x and Price/Book ratio of 8.26x also show that the company trades at multiples that command attention. These metrics provide valuable insight into how the market is currently positioning Airbnb relative to its assets and revenue generation.
From an enterprise value perspective, the EV/Revenue ratio of 5.15x points to a reasonable valuation when considering its revenue. However, the EV/EBITDA multiple of 22.29x suggests a potentially stretched valuation. Collectively, these valuation metrics offer a comprehensive view of Airbnb’s current standing in the market and how much investors are willing to pay for its earnings, sales, and operational efficiency.
| Metric | Value |
|---|---|
| Trailing P/E | 27.85x |
| Forward P/E | 26.00x |
| Price/Sales (TTM) | $6.00 |
| Price/Book (MRQ) | $8.26 |
| EV/Revenue (TTM) | 5.15x |
| EV/EBITDA (TTM) | 22.29x |
ABNB Financial Health: Debt, Liquidity, and Cash Flow Analysis
Airbnb’s financial health appears quite robust, demonstrating several key strengths that investors should appreciate. The company’s Return on Equity (ROE) of 30.78% and Return on Assets (ROA) of 7.47% are particularly impressive. These figures reflect a highly efficient use of capital, a characteristic often seen in fast-growing and well-managed companies.
The Debt/Equity ratio of 0.26x, with $2.28 billion in debt contrasted with a substantial $11.68 billion in cash, suggests that Airbnb has taken on a manageable amount of debt. This debt is likely being strategically used to fuel its operations and growth initiatives without overly burdening its balance sheet. What’s more, the company’s ability to generate $4.59 billion in operating cash flow (TTM) proves that its core business is a steady cash producer, which is a significant strength in any economic environment.
Looking at liquidity, the Current Ratio of 1.39x and Quick Ratio of 0.84x indicate a solid position, showing that Airbnb can comfortably cover its short-term liabilities. Furthermore, generating $3.23 billion in levered free cash flow suggests the company can still produce substantial cash for shareholders even after meeting all its financial obligations, highlighting strong financial flexibility.
| Metric | Value |
|---|---|
| Return on Equity (ROE TTM) | 30.78% |
| Return on Assets (ROA TTM) | 7.47% |
| Debt/Equity (MRQ) | 0.26x |
| Total Cash (MRQ) | 11.68 B |
| Total Debt (MRQ) | 2.28 B |
| Current Ratio (MRQ) | 1.39x |
| Quick Ratio (MRQ) | 0.84x |
| Operating Cash Flow (TTM) | 4.59 B |
| Levered Free Cash Flow (TTM) | 3.23 B |
Airbnb’s Financial Efficiency: Asset Turnover & ROIC Insights
When we examine Airbnb’s financial efficiency, we find a mixed but generally positive picture. The Asset Turnover of 0.57x suggests that for every dollar of assets it holds, Airbnb generates about $0.57 in revenue. This indicates moderate efficiency in how it utilizes its asset base to drive sales.
On the other hand, its Receivables Turnover of 81.24x and a mere 4.5 Days Sales Outstanding are truly excellent. These figures mean that customers are paying their dues very quickly, reflecting highly effective collections and strong demand for Airbnb’s services. The Working Capital Turnover of 1.70x indicates moderate use of short-term assets to support sales, which is further supported by a Current Ratio of 1.39x, signaling adequate liquidity.
Perhaps most impressively, Airbnb’s Return on Invested Capital (ROIC) stands at a strong 25.28%. This metric highlights how effectively the company is generating returns from the capital it has invested, underscoring its capital efficiency. Overall, while Airbnb shows strong capital returns and excellent collections, there might be opportunities for higher asset utilization to boost overall profitability even further. For a complete picture, investors should compare these figures with industry peers to assess its competitive standing.
| Metric | Value |
|---|---|
| Asset Turnover (TTM) | 0.57x |
| Receivables Turnover (TTM) | 81.24x |
| Working Capital Turnover (TTM) | 1.70x |
| Current Ratio (MRQ) | 1.39x |
| Days Sales Outstanding | 4.5 |
| Return on Invested Capital (ROIC TTM) | 25.28% |
ABNB Profitability & Growth: Margins, Revenue, and Earnings
Looking at Airbnb’s margin performance reveals a company with solid control over its costs and pricing power. The impressive gross margin of 83.04% clearly shows its success in managing production costs, while the 39.68% operating margin indicates strong profitability from its core operations.
An EBITDA margin of 23.12% further confirms that ABNB is generating robust cash flow from its operations before accounting for financing and tax strategies. All things considered, Airbnb manages to retain approximately $0.22030 in net profit for every dollar of revenue it generated over the last twelve months. While the business is experiencing aggressive revenue growth at 9.70% year-over-year, investors should closely monitor if this pace can be sustained without eroding those healthy profit margins.
Airbnb’s $2.76 billion in EBITDA and $9.92 billion in gross profit demonstrate significant raw earning power. The $2.63 billion in net income further reveals how effectively this power is converted into bottom-line results. It appears the company is skillfully balancing its pursuit of growth with the crucial need to maintain profitability. Despite exceptionally healthy gross margins, there’s a notable difference between the gross and net margins (83.04% vs. 22.03%). This gap is likely due to high operating expenses, interest costs, or taxes, which are key areas for investors to watch closely.
Moving forward, maintaining steady or improving margins will be critical for ABNB. The company needs to defend its pricing power and continue controlling operating costs, as this will be vital for sustaining profitability, especially if revenue growth rates begin to moderate.
| Metric | Value |
|---|---|
| Profit Margin (TTM) | 22.03% |
| Operating Margin (TTM) | 39.68% |
| Gross Margin (TTM) | 83.04% |
| EBITDA Margin (TTM) | 23.12% |
| Revenue (TTM) | 11.94 B |
| Quarterly Revenue Growth (YoY) | 9.70% |
| Gross Profit (TTM) | 9.92 B |
| EBITDA (TTM) | 2.76 B |
| Net Income (TTM) | 2.63 B |
| Earnings Growth (YoY) | 3.80% |
ABNB Dividends & Shareholder Returns: What Investors Need to Know
For those of you looking for dividend income, it’s important to note that, based on currently available data, ABNB does not pay a regular dividend. This isn’t necessarily a negative, though. It typically suggests that the company is prioritizing reinvesting its earnings back into the business.
This strategy is common for growth-oriented companies like Airbnb, as they aim to fuel expansion, innovate, and capture more market share. Reinvesting profits can potentially lead to higher capital appreciation for shareholders over the long term, rather than providing immediate cash payouts.
| Metric | Value |
|---|---|
| Payout Ratio | 0.00% |
| Trailing Dividend Yield | 0.00% |
ABNB Technical Analysis: Charting Current Trends & Indicators
Let’s dive into the technical landscape for ABNB. As of the latest market close, the stock is at $116.99, and the overarching trend remains bearish, showing signs of continued weakening. This stock has seen some downward pressure recently, losing -3.47% in the last 15 days. Now, the big question is: does this present a buying opportunity, or is it a warning of further declines? Let’s break down the key levels and indicators.
Current Price & Trend: ABNB at $116.99 and Weakening Bearish Signals
The current price point is critical for understanding immediate market sentiment. The recent dip suggests that while some areas might seem attractive, caution is warranted.
Trend Strength: Is ABNB Still in a Bearish Grip?
ABNB is indeed still in a bearish trend. It’s trading below its key moving averages, which is a classic signal for caution among technical traders.
What This Means for Traders?
The 20-day Simple Moving Average (SMA) at $117.89 is currently acting as a significant overhead resistance level. As long as the price remains below this point, the bearish trend is likely to persist. A rejection from this average could very well lead to a retest of recent lows, so keep a close eye on this level.
Momentum Check: RSI and MACD Insights for ABNB
When we look at momentum, the RSI (Relative Strength Index) is at 37.1. This places it squarely in a neutral zone, indicating that momentum is currently balanced—neither heavily overbought nor oversold. At the same time, the MACD histogram is positive, confirming that some upward momentum is still in play, suggesting the possibility of minor pullbacks before the next potential upward swing.
Trading Strategy:
This neutral RSI reading offers flexibility. For your next directional clue, watch for a decisive MACD crossover or a clear break of a key support or resistance level. These could signal the next significant move.
Bollinger Bands: ABNB Stock Testing Critical Levels
The stock is currently trading near the middle of its Bollinger Bands, with the SMA20 also at $117.89. The lower band, positioned at $110.99, offers the next potential level of support.
Key Levels to Watch:
- Resistance: Keep an eye on $128.27 (a recent high). A decisive breakout above this level, especially with strong volume, could propel ABNB higher.
- Immediate Support: The 20-day SMA at $117.89 is crucial. If it breaks below this, expect a test of $110.99.
Volume Trends: What ABNB’s Trading Activity Suggests
Trading volume for ABNB is currently hovering near its recent average. This provides a neutral confirmation of the current price action, meaning neither strong buying nor selling conviction is overwhelmingly present.
What’s the Concern?
Be cautious of rallies that occur on low volume, as they are often prone to sharp reversals. If we don’t see a significant surge in buying interest to confirm any upward move, a pullback becomes more likely.
Support & Resistance: Your ABNB Trading Plan
Here’s a clear trading plan based on these key technical levels:
- ✅ If ABNB holds above $117.89: The bullish trend could continue, with the next target at $128.27.
- ⚠️ If it breaks below $117.89: Expect a dip towards $110.99.
- 🛑 A drop below $110.99: This could trigger a deeper correction, potentially heading towards the 200-day SMA at $128.18.
ABNB Technical Verdict: Buy, Hold, or Sell?
Short-Term Traders:
The current trend shows some positive momentum, but keep a close watch for signs of exhaustion. A neutral stance might be the best approach until a clearer signal emerges from the MACD or significant volume changes.
Long-Term Investors:
The long-term uptrend for ABNB remains valid as long as the price holds above the 200-day SMA (currently at $128.18). A pullback towards the 50-day SMA ($121.94) area could present a safer buying opportunity for those looking to accumulate shares.
New Buyers:
It’s generally wise to avoid chasing the rally at current levels. Instead, wait for either a confirmed breakout above $128.27 with strong volume, or a more attractive pullback to the $117.89 area, which would offer a better risk/reward entry point.
Bottom Line: The technicals suggest that the recent rally for ABNB might be losing steam in the short term. While the long-term trend still appears bullish, a correction seems plausible before the next major move. Exercise caution, and wait for clear confirmation at key support and resistance levels.
ABNB Historical Stock Performance & Recent Trading Data
Let’s take a look back at Airbnb’s recent price action. Analyzing the last 15 trading days, from November 14, 2025, to November 28, 2025, ABNB’s stock posted a return of -4.12%. During this period, the stock traded within a range of $110.81 to $122.75, with an average daily trading volume of 5,491,187 shares. This recent performance indicates a slight downward trend and some notable fluctuations.
Recent Trading Data for ABNB (November 2025)
Here’s a detailed look at Airbnb’s daily trading activity over the past couple of weeks, providing a clear picture of its recent price movements and volume.
| Date | Open | High | Low | Close | Volume |
|---|---|---|---|---|---|
| 2025-11-28 | $116.75 | $117.79 | $116.40 | $116.99 | 2,522,300 |
| 2025-11-27 | $117.99 | $118.04 | $116.40 | $116.74 | 5,112,200 |
| 2025-11-26 | $117.99 | $118.04 | $116.40 | $116.74 | 5,112,200 |
| 2025-11-25 | $114.46 | $119.24 | $114.46 | $118.56 | 7,731,100 |
| 2025-11-24 | $114.67 | $115.05 | $113.38 | $114.41 | 6,476,400 |
| 2025-11-23 | $112.17 | $115.69 | $111.84 | $114.26 | 6,865,800 |
| 2025-11-22 | $112.17 | $115.69 | $111.84 | $114.26 | 6,865,800 |
| 2025-11-21 | $112.17 | $115.69 | $111.84 | $114.26 | 6,865,800 |
| 2025-11-20 | $114.51 | $115.14 | $110.81 | $111.54 | 7,206,700 |
| 2025-11-19 | $115.50 | $115.91 | $114.07 | $114.44 | 4,516,100 |
| 2025-11-18 | $116.59 | $118.54 | $115.39 | $115.42 | 5,547,200 |
| 2025-11-17 | $120.74 | $121.33 | $116.70 | $117.60 | 5,187,100 |
| 2025-11-16 | $120.92 | $122.75 | $119.60 | $122.02 | 4,119,700 |
| 2025-11-15 | $120.92 | $122.75 | $119.60 | $122.02 | 4,119,700 |
| 2025-11-14 | $120.92 | $122.75 | $119.60 | $122.02 | 4,119,700 |
ABNB Stock Price Statistics: Volatility and Market Beta
When we look at Airbnb’s stock price statistics over the past year, we see a considerable range, with a high of $163.93 and a low of $99.88. This wide gap tells us that the stock has experienced significant fluctuations, likely influenced by broader market sentiment, sector-specific news, or company developments.
Currently, the 50-day moving average stands at $122.04, which is slightly below the 200-day moving average of $127.92. For technical traders, this setup could signal a short-term pullback or a period of consolidation, as it often indicates a weakening of momentum in the near term.
A Beta of 1.11x suggests that ABNB’s stock tends to move generally in line with the broader market, but with slightly more volatility. Combined with a moderate 30-day annualized volatility of 23.9%, it’s clear that this stock sees frequent price swings. For investors, this translates to both potential for higher gains and a higher degree of downside risk. These indicators are crucial when you’re deciding on position sizing or the optimal timing for your entry, especially if you’re aiming to balance stability with growth exposure in your portfolio. For more real-time data, you can always check out Yahoo Finance’s ABNB page.
| Metric | Value |
|---|---|
| 52 Week High | $163.93 |
| 52 Week Low | $99.88 |
| 50 Day MA | $122.04 |
| 200 Day MA | $127.92 |
| Beta | 1.11x |
| Volatility (30d Ann.) | 23.9% |
ABNB Quarterly Earnings Performance & Growth Metrics
Airbnb’s recent quarterly performance paints a picture of continued growth and solid financial results. In its latest reported quarter (2025-Q3), the company posted impressive revenue of $4.09 billion and a net income of $1.37 billion.
What’s particularly encouraging is the quarter-over-quarter revenue change, which soared by +32.3%. This shows very strong sequential growth. Looking at the bigger picture, the year-over-year revenue growth stands at a healthy +9.7%, demonstrating consistent expansion for the platform.
Airbnb’s Last Four Quarterly Results Breakdown
Here’s a detailed look at Airbnb’s performance over the last four quarters, highlighting key financial metrics:
| Quarter | Revenue | Net Income | EPS | Gross Margin |
|---|---|---|---|---|
| 2025-Q3 | 4.09 B | 1.37 B | 2.21x | 86.6% |
| 2025-Q2 | 3.10 B | 642.00 M | 1.03x | 82.4% |
| 2025-Q1 | 2.27 B | 154.00 M | 0.24x | 77.7% |
| 2024-Q4 | 2.48 B | 461.00 M | 0.73x | 82.8% |
Key Growth Metrics for ABNB
These growth metrics underscore Airbnb’s dynamic financial trajectory:
| Metric | Value |
|---|---|
| QoQ Revenue Growth | +32.3% |
| QoQ Net Income Growth | +114.0% |
| YoY Revenue Growth | +9.7% |
ABNB Short Selling Insights: Bearish Sentiment & Short Squeeze Potential
Let’s talk about short interest, a fascinating aspect of market sentiment. Currently, there’s 18 million shares of ABNB held by short sellers, and the short ratio, or “days to cover,” stands at 3.7x. This means that, at the stock’s recent average trading volume, it would take approximately 3.7 days for all short positions to be covered. This moderate level suggests a balance: there’s some bearish betting, but the market can absorb these positions without extreme volatility.
With 4.37% of the public float sold short, a moderate percentage of the stock is being targeted by short sellers. This indicates a degree of bearish sentiment, but it’s not at an extreme level that would typically trigger alarm bells. What’s more, this level has actually decreased recently from 19 million shares, suggesting a slight shift in bearish sentiment. Generally, when short interest is low, the market tends to feel more confident, and the risks of sharp price swings from sudden short-covering activities are reduced. This is certainly something to monitor. You can often find detailed short interest data on financial news sites like MarketWatch’s ABNB page.
| Metric | Value |
|---|---|
| Shares Short | 18 M |
| Short Ratio (Days To Cover) | 3.70x |
| Short % of Float | 4.37% |
| Shares Short (Prior Month) | 19 M |
| Short Date | 2025-11-14 |
ABNB Risk Analysis: Volatility, Drawdown, and Value at Risk
Any investment comes with risks, and for ABNB, understanding its risk profile is crucial for investors. The stock exhibits high volatility, with an annualized volatility of 38.8%. This indicates a relatively high level of investment risk, meaning prices can swing quite a bit in either direction.
The Sharpe ratio, at 0.08x, suggests mixed risk-adjusted returns. A low Sharpe ratio implies that the returns generated might not adequately compensate for the level of risk taken. Furthermore, a maximum drawdown of -61.96% is a stark reminder of the significant downside risk during adverse market conditions; this tells us that at its worst, the stock experienced a substantial decline from its peak.
To put potential losses into perspective, the Value at Risk (VaR) at a 5% confidence level shows a potential loss of -3.79% in the worst 5% of scenarios. This means that on 5% of trading days, you could expect a loss of at least this much. The Sortino ratio of 0.11x is another useful metric, as it specifically focuses on downside risk, providing additional insight into risk-adjusted performance by penalizing only negative volatility.
Investors should always consider these risk metrics in conjunction with their own personal risk tolerance and broader investment objectives. It’s about finding a balance that works for you.
| Metric | Value |
|---|---|
| Volatility (Annualized) | 38.8% |
| Value at Risk (5%) | -3.79% |
| Value at Risk (1%) | -6.91% |
| Sharpe Ratio | 0.08x |
| Sortino Ratio | 0.11x |
| Maximum Drawdown | -61.96% |
| Skewness | 0.28x |
| Kurtosis | 5.89x |
ABNB Sentiment Analysis: News, Analysts, and Options Market
Understanding market sentiment is like taking the pulse of investor psychology. For ABNB, current market sentiment reveals a cautiously positive outlook, with a composite sentiment score of 0.17x and a confidence level of 40.5%. This overall positive sentiment is derived from analyzing multiple data sources, including recent news coverage, analyst recommendations, and activity in the options market.
Breaking down these components, news analysis currently shows a Neutral sentiment (0.06x), indicating balanced or non-decisive reporting. Analyst consensus also leans Neutral (0.00x), suggesting a lack of strong conviction either way from the professional analyst community. However, the options market sentiment reflects a more Positive stance (0.57x), which might imply that options traders are positioning for potential upside.
It’s important to remember that this is a relatively weak sentiment signal overall. While it offers a glimpse into market psychology, it should always be considered alongside a thorough fundamental and technical analysis for a truly comprehensive investment perspective.
| Metric | Value |
|---|---|
| Composite Sentiment Score | 0.17x |
| Sentiment Classification | Positive |
| Sentiment Confidence | 40.5% |
| News Sentiment | Neutral (0.06x) |
| Analyst Sentiment | Neutral (0.00x) |
| Options Sentiment | Positive (0.57x) |
| Put/Call Ratio | 0.22x |
ABNB Peer Comparison: How Airbnb Stacks Up Against Competitors
To truly gauge Airbnb’s position, it’s helpful to compare it against its industry peers. We’ll look at Booking Holdings (BKNG), Marriott International (MAR), and Royal Caribbean Group (RCL).
Airbnb, with its $71.63 billion market cap, is currently the smallest player among these giants, with BKNG at $159.28B, MAR at $82.74B, and RCL at $72.61B. When it comes to valuation, ABNB’s P/E ratio of 27.85x suggests a moderate premium, while RCL, with a P/E of 17.92x, trades at much lower multiples, often reflecting more mature or slower-growth businesses.
In terms of revenue growth, ABNB shows a modest 9.70% expansion, which is competitive but trails BKNG’s 12.70%. However, Airbnb truly shines in profitability, boasting a robust 22.03% net margin. This demonstrates strong control over costs and efficient operations, comparing favorably to BKNG’s 19.37% and RCL’s 23.32%, though MAR leads with 37.98%.
Airbnb’s exceptional 30.78% Return on Equity (ROE) indicates highly efficient use of shareholder equity, outperforming RCL’s 46.68% (though BKNG and MAR have N/A data here). ABNB also maintains a conservative debt-to-equity ratio of 26.46%, suggesting a strong balance sheet, especially when compared to RCL’s significantly higher leverage at 204%.
Regarding shareholder returns, dividend policies vary significantly across these companies. BKNG (78.00%) and MAR (88.00%) reward shareholders with substantial payouts, while Airbnb (0.00%) reinvests all cash back into growth initiatives.
| Metric | ABNB | BKNG | MAR | RCL |
|---|---|---|---|---|
| Market Cap | $71.63B | $159.28B | $82.74B | $72.61B |
| P/E Ratio | 27.85 | 31.95 | 32.15 | 17.92 |
| Revenue Growth | 9.70% | 12.70% | 5.60% | 5.20% |
| Net Margin | 22.03% | 19.37% | 37.98% | 23.32% |
| EPS | 4.20 | 153.83 | 9.48 | 14.86 |
| ROE | 30.78% | 46.68% | ||
| Debt-to-Equity | 26.46 | 204 | ||
| Dividend Yield | 0.00% | 78.00% | 88.00% | 1.50% |
| 52-Week Range | 99.88 – 163.93 | 4082.14 – 5829.37 | 203.87 – 306.00 | 163.05 – 365.38 |
ABNB Insider Transactions: What Recent Buying and Selling Reveals
Insider transactions can often provide a fascinating glimpse into how those closest to the company view its prospects. Over the last three months, the insider transaction data for ABNB reveals a notably bearish trend. We’ve seen 49 sell transactions versus just 5 buys, totaling a substantial $206.7 million in net sales.
Focusing purely on discretionary open-market activity, there were 39 market sales compared to 0 market purchases. This clearly indicates that insiders are actively reducing their positions in the open market. Additionally, there were 2 option exercises, which could either signal confidence in future price appreciation (exercising to hold) or a preparatory step for selling.
Price analysis shows that sales occurred at elevated levels, averaging $122.44 across 43 priced transactions, while the single recorded purchase averaged $29.95. This suggests that insiders have been strategically taking profits. The recent market transactions heavily lean towards selling, with insiders continuing to reduce their exposure in the near term. The sheer scale of this discretionary market selling should give investors pause; when those with the best visibility into the company’s operations are reducing their holdings, it warrants a careful evaluation of the near-term risk/reward dynamics for ABNB stock. For official filings, always refer to the SEC Edgar database for ABNB.
| Insider Name | Type | Shares Changed | Price | Shares After | Transaction Date | Filing Date |
|---|---|---|---|---|---|---|
| Gebbia Joseph | SELL (Sale) [S] | -355 | $115.05 | 15 | 2025-11-24 | 2025-11-26 |
| Gebbia Joseph | SELL (Sale) [S] | -169,988 | $114.39 | 370 | 2025-11-24 | 2025-11-26 |
| Gebbia Joseph | SELL (Sale) [S] | -61,657 | $113.77 | 170,358 | 2025-11-24 | 2025-11-26 |
| BALOGH ARISTOTLE N | SELL (Sale) [S] | -600 | $114.51 | 188,835 | 2025-11-20 | 2025-11-24 |
| Mertz Elinor | SELL (Tax Payment) [F] | -6,410 | $115.42 | 430,160 | 2025-11-19 | 2025-11-21 |
| Blecharczyk Nathan | SELL (Unknown) [C] | -400 | ~$114.44 | 2025-11-19 | 2025-11-21 | |
| Blecharczyk Nathan | BUY (Unknown) [C] | +400 | ~$114.44 | 2025-11-19 | 2025-11-21 | |
| Blecharczyk Nathan | SELL (Tax Payment) [F] | -3,413 | $115.42 | 179,100 | 2025-11-19 | 2025-11-21 |
| Bernstein David C | SELL (Tax Payment) [F] | -1,291 | $115.42 | 40,037 | 2025-11-19 | 2025-11-21 |
| BALOGH ARISTOTLE N | SELL (Tax Payment) [F] | -5,371 | $115.42 | 189,435 | 2025-11-19 | 2025-11-21 |
| Lin Alfred | SELL (Unknown) [C] | -219,437 | ~$122.02 | 2025-11-14 | 2025-11-18 | |
| Lin Alfred | SELL (Unknown) [C] | -1,771,663 | ~$122.02 | 2025-11-14 | 2025-11-18 | |
| Lin Alfred | BUY (Other) [J] | +30,615 | ~$122.02 | 2025-11-14 | 2025-11-18 | |
| Lin Alfred | SELL (Other) [J] | -219,845 | ~$122.02 | 2025-11-14 | 2025-11-18 | |
| Lin Alfred | BUY (Unknown) [C] | +219,437 | ~$122.02 | 2025-11-14 | 2025-11-18 | |
| Lin Alfred | SELL (Other) [J] | -1,771,663 | ~$122.02 | 2025-11-14 | 2025-11-18 | |
| Lin Alfred | BUY (Unknown) [C] | +1,771,663 | ~$122.02 | 2025-11-14 | 2025-11-18 | |
| BALOGH ARISTOTLE N | SELL (Sale) [S] | -600 | $121.38 | 194,806 | 2025-11-13 | 2025-11-17 |
| Gebbia Joseph | SELL (Sale) [S] | -7,030 | $122.37 | 232,015 | 2025-11-10 | 2025-11-13 |
| Gebbia Joseph | SELL (Sale) [S] | -57,370 | $121.34 | 239,045 | 2025-11-10 | 2025-11-13 |
| Gebbia Joseph | SELL (Sale) [S] | -154,470 | $120.40 | 296,415 | 2025-11-10 | 2025-11-13 |
| Gebbia Joseph | SELL (Sale) [S] | -17,130 | $119.92 | 450,885 | 2025-11-10 | 2025-11-13 |
| BALOGH ARISTOTLE N | SELL (Sale) [S] | -600 | $122.38 | 195,406 | 2025-11-06 | 2025-11-10 |
| BALOGH ARISTOTLE N | SELL (Sale) [S] | -600 | $125.47 | 196,006 | 2025-10-30 | 2025-11-03 |
| Mertz Elinor | SELL (Sale) [S] | -7,500 | $130.00 | 436,570 | 2025-10-28 | 2025-10-30 |
| Gebbia Joseph | SELL (Sale) [S] | -55,133 | $129.14 | 468,015 | 2025-10-27 | 2025-10-29 |
| Gebbia Joseph | SELL (Sale) [S] | -153,474 | $128.46 | 523,148 | 2025-10-27 | 2025-10-29 |
| Gebbia Joseph | SELL (Sale) [S] | -15,704 | $127.53 | 676,622 | 2025-10-27 | 2025-10-29 |
| Gebbia Joseph | SELL (Sale) [S] | -11,689 | $126.68 | 692,326 | 2025-10-27 | 2025-10-29 |
| Mertz Elinor | SELL (Exercise) [M] | -12,184 | ~$127.99 | 2025-10-24 | 2025-10-28 | |
| Mertz Elinor | SELL (Sale) [S] | -12,184 | $127.65 | 444,070 | 2025-10-24 | 2025-10-28 |
| Mertz Elinor | BUY (Exercise) [M] | +12,184 | $29.95 | 456,254 | 2025-10-24 | 2025-10-28 |
| BALOGH ARISTOTLE N | SELL (Sale) [S] | -600 | $127.53 | 196,606 | 2025-10-23 | 2025-10-27 |
| BALOGH ARISTOTLE N | SELL (Sale) [S] | -600 | $124.26 | 197,206 | 2025-10-16 | 2025-10-20 |
| Gebbia Joseph | SELL (Sale) [S] | -185,696 | $119.36 | 704,015 | 2025-10-13 | 2025-10-15 |
| Gebbia Joseph | SELL (Sale) [S] | -50,304 | $118.73 | 889,711 | 2025-10-13 | 2025-10-15 |
| BALOGH ARISTOTLE N | SELL (Sale) [S] | -600 | $120.46 | 197,806 | 2025-10-09 | 2025-10-14 |
| BALOGH ARISTOTLE N | SELL (Sale) [S] | -600 | $122.47 | 198,406 | 2025-10-02 | 2025-10-06 |
| Gebbia Joseph | SELL (Sale) [S] | -25,800 | $124.26 | 940,015 | 2025-09-29 | 2025-10-01 |
| Gebbia Joseph | SELL (Sale) [S] | -209,614 | $123.49 | 965,815 | 2025-09-29 | 2025-10-01 |
| Gebbia Joseph | SELL (Sale) [S] | -586 | $122.96 | 1,175,429 | 2025-09-29 | 2025-10-01 |
| BALOGH ARISTOTLE N | SELL (Sale) [S] | -600 | $122.91 | 199,006 | 2025-09-25 | 2025-09-29 |
| BALOGH ARISTOTLE N | SELL (Sale) [S] | -600 | $123.74 | 199,606 | 2025-09-18 | 2025-09-22 |
| Gebbia Joseph | SELL (Sale) [S] | -10,600 | $122.23 | 1,176,015 | 2025-09-15 | 2025-09-17 |
| Gebbia Joseph | SELL (Sale) [S] | -63,700 | $121.49 | 1,186,615 | 2025-09-15 | 2025-09-17 |
| Gebbia Joseph | SELL (Sale) [S] | -154,660 | $120.40 | 1,250,315 | 2025-09-15 | 2025-09-17 |
| Gebbia Joseph | SELL (Sale) [S] | -7,040 | $119.93 | 1,404,975 | 2025-09-15 | 2025-09-17 |
| BALOGH ARISTOTLE N | SELL (Sale) [S] | -600 | $123.68 | 200,206 | 2025-09-11 | 2025-09-15 |
| BALOGH ARISTOTLE N | SELL (Sale) [S] | -600 | $124.65 | 200,806 | 2025-09-04 | 2025-09-08 |
| Mertz Elinor | SELL (Sale) [S] | -4,630 | $128.42 | 444,070 | 2025-09-02 | 2025-09-04 |
| Gebbia Joseph | SELL (Sale) [S] | -13,297 | $129.11 | 1,412,015 | 2025-09-02 | 2025-09-04 |
| Gebbia Joseph | SELL (Sale) [S] | -34,112 | $128.60 | 1,425,312 | 2025-09-02 | 2025-09-04 |
| Gebbia Joseph | SELL (Sale) [S] | -138,424 | $127.39 | 1,459,424 | 2025-09-02 | 2025-09-04 |
| Gebbia Joseph | SELL (Sale) [S] | -50,167 | $126.76 | 1,597,848 | 2025-09-02 | 2025-09-04 |
Key Risk Factors for Investing in ABNB Stock
Every investment carries a degree of risk, and potential investors in ABNB should be well aware of several factors that could impact its performance. This list highlights key considerations based on the latest data and market dynamics as of early December 2025. It’s important to remember that this isn’t an exhaustive list, and other unforeseen risks could emerge.
- ⚠️ Overall technical sentiment is Bearish, suggesting a need for caution. The price trend is currently showing weakness below key moving averages, which often signals further downside potential in the short to medium term.
- ⚠️ The current price of $116.99 is below the 50-Day SMA ($121.94), indicating potential short-term weakness. This is a crucial technical level that bulls would want to reclaim to reverse the sentiment.
- ⚠️ The current price of $116.99 is also below the 200-Day SMA ($128.18), suggesting potential long-term weakness. Trading below this longer-term average is often interpreted as a significant bearish signal.
- ⚠️ General market fluctuations and broader economic conditions can significantly impact stocks in the Consumer Cyclical sector. Travel and discretionary spending are highly sensitive to economic downturns, inflation, and changes in consumer confidence.
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ABNB Analyst Insights & Consensus: Wall Street’s Price Targets
When it comes to Wall Street’s perspective on ABNB, the consensus from analysts is currently a ‘Hold’ recommendation. This consensus is drawn from the opinions of 35 analysts who cover Airbnb.
These analysts have provided price targets that average out to $139.14, with a range spanning from a low of $102.00 to a high of $180.00. This average target of $139.14 suggests a potential upside of roughly 18.9% compared to the current price of $116.99. This reflects the overall sentiment among analysts regarding the stock’s future outlook. While not a strong buy, a ‘Hold’ often indicates that analysts believe the stock is fairly valued at current levels, or that there isn’t a compelling reason to either buy or sell aggressively right now.
| Metric | Value |
|---|---|
| Recommendation | Hold |
| Mean Target Price | $139.14 |
| High Target Price | $180.00 |
| Low Target Price | $102.00 |
| Number of Analyst Opinions | 35 |
Recent ABNB News and Market Developments
Staying on top of the latest news and developments is crucial for any investor, as these can significantly impact a stock’s trajectory. Here are some recent headlines concerning ABNB and the broader market as of late November / early December 2025:
- I’m a Real Estate Agent: 5 Housing Market Trends To Prepare for in 2026
Publisher: GOBankingRates
Published: 2025-11-30T11:55:05Z
(This article may impact ABNB indirectly by discussing broader housing and rental market trends that could affect host supply or guest demand.) - 1 Travel Stock That Should Be on Every Investor’s Holiday List
Publisher: Motley Fool
Published: 2025-11-29T13:15:00Z
(This headline suggests potential positive sentiment towards ABNB or its peers in the travel sector ahead of a key travel season.) - Airbnb (ABNB): Revisiting Valuation Following Record Q3 Results and Platform Expansion
Publisher: Simply Wall St.
Published: 2025-11-28T16:10:41Z
(This highlights recent strong earnings and strategic moves, potentially driving a re-evaluation of the stock.) - Airbnb Stock: Is ABNB Underperforming the Consumer Cyclical Sector?
Publisher: Barchart
Published: 2025-11-28T13:00:16Z
(This suggests a comparative analysis of ABNB’s performance relative to its sector, raising questions about its competitive standing.) - Airbnb (ABNB) Q3 2025 Earnings Call Transcript
Publisher: Motley Fool
Published: 2025-11-27T22:54:31Z
(The earnings call transcript is a primary source for understanding management’s outlook, future guidance, and responses to analyst questions.)
These recent articles provide a snapshot of the market discussion around Airbnb, covering everything from its recent financial performance to broader industry trends and competitive positioning. Investors should always review these types of news items to understand potential catalysts or headwinds for ABNB.
ABNB Stock: Conclusion & Investment Outlook
Let’s bring all our insights together to form a comprehensive picture of Airbnb’s current investment landscape. We’ve delved into everything from technical indicators to fundamental health, market sentiment, and analyst forecasts.
Short-Term Technical Snapshot for ABNB
From a short-term technical perspective, the signals for ABNB are leaning cautious:
- ▼ Overall Technical Sentiment: Bearish
- ▼ Price Trend vs MAs: Bearish (currently trading below both 50-day and 200-day SMAs)
- ● Momentum (RSI): Neutral (at 37.1, indicating balanced momentum)
- 📊 Support / Resistance (30d): ~$110.81 (support) / ~$128.27 (resistance)
Longer-Term Fundamental & Forecast Outlook for ABNB
Looking at the longer-term picture, combining fundamental strength with forecast models:
- ▼ 1-Year Avg. Forecast: Approximately -4.4% average change to ≈$111.80, suggesting a relatively flat outlook.
- ● Fundamental Health: Appears solid, with a strong ROE of 30.78% and a manageable Debt/Equity ratio of 0.26x.
- ● Valuation Snapshot: Appears moderate, with a Forward P/E of 26.00x, suggesting a fair valuation given its growth prospects.
- ● Recent Growth (YoY): Moderate, with revenue growth at 9.70% and earnings growth at 3.80%.
- ● Analyst Consensus: A ‘Hold’ recommendation with a mean target of $139.14.
Overall Assessment & Investment Outlook for Airbnb
Synthesizing all this data, ABNB currently presents a complex profile. We’re seeing bearish technicals that suggest caution in the short term, coupled with moderate to strong fundamentals that highlight its operational efficiency and cash-generating ability. The valuation appears to be moderate* at a Forward P/E of 26.00x, which seems reasonable for a growth-oriented company.
Looking out over the next year, the forecast implies a relatively flat trajectory with an average target price near $111.80, though analyst consensus offers a more optimistic upside. Investors should carefully weigh these factors against their personal risk tolerance and investment timeline. It’s a nuanced situation where strong business performance meets current market headwinds.
Frequently Asked Questions
What is the ABNB stock price prediction for the next year (2025-2026)?
Based on current models, the average 1-year price forecast for ABNB is approximately $111.80. This represents a potential -4.4% change from the recent price of $116.99. Remember, this is a model-driven estimate, not a guarantee, and actual prices will fluctuate based on numerous market factors.
Will ABNB stock go up or down?
The 1-year forecast model suggests the price might decrease moderately on average (-4.4% potential). However, the short-term direction is highly uncertain and heavily influenced by prevailing market sentiment (currently ‘Bearish’), breaking news, and overall economic conditions. Technical indicators provide clues for near-term direction, but no outcome is guaranteed.
Is ABNB stock a good investment right now?
Determining if ABNB is a ‘good buy’ requires evaluating multiple factors. Technical sentiment is ‘Bearish’, while the 1-year forecast suggests a -4.4% potential. Technically, the RSI indicates neutral conditions (RSI: 37.1), indicating balanced momentum. Consider its valuation, strong financial health, and growth prospects. However, note that several significant risk factors specific to ABNB were identified (see Risk Factors section). Align these factors with your personal investment strategy and risk tolerance.
How volatile is ABNB stock?
Based on the recent 30-day price action, ABNB’s annualized volatility is approximately 23.9%. This level is currently considered moderate-to-high, indicating the degree of recent price fluctuation. This aligns with its Beta of 1.11x (see Stock Price Statistics). Higher volatility means larger potential price swings, both up and down.
What is ABNB’s P/E ratio and what does it mean?
ABNB’s Trailing P/E ratio (based on past earnings) is 27.85x, which is considered relatively high, implying that the market expects strong future growth or potential overvaluation. The Forward P/E (based on expected earnings) is 26.00x. A P/E ratio indicates how much investors are paying per dollar of earnings. You should compare this to industry peers and historical levels. A high P/E isn’t necessarily bad if strong growth justifies it.
What does ABNB’s liquidity position reveal about its financial health?
ABNB’s financial health includes an adequate Current Ratio of 1.39x. However, its robust operating cash flow ($4.59 billion) and levered free cash flow ($3.23 billion) provide a significant buffer. These are critical factors in its ability to fund operations, manage debt, and invest in future growth, indicating a strong overall liquidity position.
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