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36

FIVN

💻 Technology

Five9, Inc.

Conservative #957Aggressive #941Moderate RiskLow 10ML↑ 30pt
$17.85+0.11%
Day High$18.13
Day Low$17.55
Volume2.1M
Mkt Cap$1.4B
52W Low $1652W High $43
Market Cap
$1.5B
P/E Ratio
38.0
Sector avg: 87.8
Rev Growth
10.3%
Sector avg: 14.8%
Earnings Growth
408.1%
Profit Margin
3.4%
Sector avg: -110.0%
Debt/Equity
1.02

Why This Score

FIVN scores 36.2 on the Conservative profile, blending a fundamental score (80% weight, emphasizing quality and stability (84% of fundamental weight)) with a machine-learning signal (20% weight) trained on 82 features across 30 years of data.

Risk Factors
  • Elevated leverage (D/E 1.02) increases financial risk in a rising-rate environment.

Minor adjustments (-1.0 points) applied. FIVN's rank of #957 primarily reflects its factor profile relative to the conservative weight vector.

Score Breakdown

Overall Score36.2
Fundamental Score37.4
ML Score16.0

Score by Horizon

3 Month
76.2
6 Month
85.2
Primary
1 Year
89.7

Quality Assessment

F
Earnings Grade
Weak fundamentals or significant quality concerns
Quality Flags
High accrual ratio (-473.9%) — earnings quality concern

Position Sizing

Suggested Allocation
5%
Confidence
high

Score Composition Waterfall

How each component affects the final score
Backtested Scoring Levers (IC-calibrated from 30y ElasticNet)
Weinstein (12.1%)
0
Declining
Sentiment (2.5%)
56
Neutral
Analyst (6.4%)
65
Favorable
Tradability (post-hoc)
88
Grade A
Base
33.2
SHAP
+2.6
Factors
+1.4
Divergence
-1.0
Final
36.2
Positive adjustment
Negative adjustment
Base blend
Final score

Signal SegmentsComputed from ML features

Fundamental (Valuation, Quality, Growth)48.0
Technical (Momentum, Weinstein, Volatility)33.0
External (Sentiment, Analyst, Macro)80.0
Scores below 50 indicate weakness in that segment relative to the universe.

Data Quality

Score
Features
Confidence
Feature Coverage89%

Growth Estimates

Short-term
+8.7% to +14.5%
Medium-term
+12.7% to +21.2%
Long-term
+18.6% to +30.3%

ML Model Core Features100 trained inputs → ML Score: 16

These features are direct inputs to the machine learning model. The model was trained on these signals alongside 100 features (including 12 momentum/technical indicators) to produce the ML percentile score.

Analyst Intelligence
Consensus Score64.6/100
Target Upside+59.8%
Coverage41 analysts
Market Sentiment
Sentiment Score55.8/100
News Volume1 articles
Technical Stage
Weinstein Stage4 — Declining
12M Momentum-0.5%
6M Momentum-0.4%
Volatility+0.1%
Momentum & Technical
Momentum Acceleration-15.9%
Momentum ConsistencyStrong (0.70)
Relative Strength vs Sector-57.3%
Trend Strength (ADX Proxy)Strong (5.0)
Momentum Quality-0.331
Momentum BreadthNarrow
Macro Regime
Bull RegimeYes
High Vol RegimeNo
S&P 500 Return+25.0%
Yield Curve-0.1bp

Sector-Relative AnalysisIn-model features

Value Trap Signal
15%
Low risk
Sector RevGr Rank
P50
Revenue growth vs Technology peers
Sector PE Rank
P33
Valuation vs Technology peers
Sector FCF Rank
P88
Free cash flow vs Technology peers
Growth Deviation
-0.0σ
Z-score vs sector median
Stagnation Flag
NO
Not flagged

Analysis Signals

Scoring Factors
Fundamental score of 64 relative to sector peers64/100
Machine learning model ranks this stock at the 94th percentileP94
ML model weight reduced to 9% due to macro conditions: market in extended rally phase; yield curve inverted (recession indicator); late-cycle economic indicators detected9% ML weight
SHAP feature alignment: +3.0pt (features align with model priorities)—
Blend: 91% fund (64.3) + 9% ML (94.5) + SHAP(+3.0) = 70.0—
Factor quality: +1.6pt (multi-factor composite)—
Risk assessment: moderate. Annualized volatility 9.1%. Max drawdown 38% (-12.0 pts). Price momentum -54% (-9.7 pts)Moderate
Market cap adjustment: -8.0 points ($1.5B market cap)-8.0 pts
Conviction penalty: -3.8pt (conviction=10)—
Divergence penalty: -3.0pt (ML 30pt higher)—
Risk Factors
Earnings quality grade F: assessed. Score adjusted by -30 pointsGrade F
Quality concern: Earnings growth (408%) massively exceeds revenue growth (10.3%) — earnings spike likely non-recurring; Earnings/revenue growth ratio of 40x — earnings quality suspect; High accrual ratio (-473.9%) — earnings quality concernFlag

Sector Peer Comparison(Technology — Rank #216 of 289 stocks)

StockScoreP/ERev GrowthMarginMkt Cap
FIVN36.238.010.3%3.4%$1.5B
MPWR84.891.721.2%81.0%$57.1B
ZM84.218.03.1%21.7%$27.7B
NVDA80.645.2114.2%55.8%$4.5T
CRUS79.719.16.0%17.5%$7.4B
ASML77.848.115.6%29.4%$546.0B
IDCC77.431.8-4.0%48.8%$9.7B
CSCO77.127.65.3%18.0%$303.6B
RMBS75.548.320.7%32.3%$11.0B
DBX75.313.91.9%17.7%$6.4B
FSLR75.017.326.7%30.7%$24.2B
SIMO74.79.210.2%13.8%$4.5B
ADI74.374.116.9%20.6%$165.1B
AAPL72.533.16.4%27.0%$3.9T
OLED72.527.012.4%34.3%$5.9B
AMAT72.336.44.4%24.7%$281.7B
Sector Average47.487.814.8%-110.0%—

Market Sentimentvia FMP

Analyst Consensus
Buy41 analysts
Buy: 25Hold: 15Sell: 1
Price Target
$29consensus
Low $21Median $28High $40
+60.1% to consensus target

Company Overviewvia FMP

Five9, Inc., together with its subsidiaries, provides cloud software for contact centers in the United States and internationally. The company offers virtual contact center cloud platform that delivers a suite of applications, which enables the breadth of contact center-related customer service, sales, and marketing functions. Its solution enables its clients to manage these customer interactions across various channels, including voice, video, chat, email, website, social media, click-to-call, callback, and mobile channels, as well as through APIs; and provides natural language processing and automatic speech recognition solutions. The company serves customers in various industries comprising banking and financial services, business process outsourcers, consumer, healthcare, technology, and education. Five9, Inc. was incorporated in 2001 and is headquartered in San Ramon, California.

CEO
Amit Mathradas
Employees
3,073
Beta
1.31
Industry
Software - Infrastructure
FMP-Identified Peers

Technical Picturecomputed from daily prices

RSI (14)
54.0
Neutral
Trend
Bearish
10-day vs 50-day MA
From 52W High
-57.1%
High: $41.6
From 52W Low
+13.7%
Low: $15.7
Moving Averages
10-Day
$17.30
Above
20-Day
$17.30
Above
50-Day
$18.70
Below
200-Day
$23.40
Below
60-Day Support
$15.7
60-Day Resistance
$22.08
Weinstein Stage Analysisbased on 200-day SMA framework
Stage 4 — DecliningScore: 10/100

Stock is in a downtrend below the 200-day moving average. Price is below both the 50-day and 200-day SMAs, indicating sustained selling pressure.

Unfavorable technical position; wait for Stage 1 basing
Price vs 200 SMA
-23.7%
200 SMA Slope (60d)
-11.99%
Falling
Volume Ratio
1.49x
10d avg vs 50d avg
Days in Stage
100
Confidence: 90%

Financial Statementslast 4 quarters via FMP

MetricQ4 2025Q3 2025Q2 2025Q1 2025
Revenue$300M$286M$283M$280M
Gross Profit$164M$155M$155M$154M
Operating Income$22M$18M$-2M$-5M
Net Income$20M$18M$1M$576,000
EPS (Diluted)$0.23$0.21$0.01$0.01
Gross Margin54.6%54.2%54.9%55.0%
Operating Margin7.3%6.2%-0.6%-1.9%
Net Margin6.6%6.3%0.4%0.2%

Why This Stock

TechnologyRevenue growth 10.3%Valuation below sector median (P/E 38.0)

Tradability FilterGrade A — 88/100Score impact: -4.6pt

Volume
100
2.0M avg/day
Dollar Vol
90
$35M/day
Float
90
76M shares
Mkt Cap
48
$1.5B
Range
100
172% spread
Composite Liquidity Score88/100
FDCBA

Growth Projection Adjustment

0.7x dampening
weinstein basing

Growth estimates have been dampened based on technical and fundamental signals. This is a post-hoc adjustment to prevent overly optimistic projections for stocks showing declining momentum or deteriorating fundamentals.

Free Float
97.4%
Outstanding Shares
78M
Bid-Ask Spread
172.0%
Institutional Tradable
Yes

Scores are generated by a multi-stage ML pipeline combining fundamental analysis, ensemble predictions, and structural risk signals. All data is for research purposes only and does not constitute financial advice. Past performance does not guarantee future results.