MEDIUM confidence: 100% data completeness, but the composite (49) sits in the indecisive 30–70 range — strong-buy and short calls require a more decisive composite. What does confidence mean?
Technical context for active traders — derived from price, the 50/200-day moving averages, the 52-week range, and recent volume. Not part of the QScore.
Not enough return history to estimate factor exposures — 25 of 36 months required. This stock is too recently listed (or has too short a price history) for a reliable Fama-French regression.
| Metric (USD) | FY2021 | FY2022 | FY2023 | FY2024 | FY2025 |
|---|---|---|---|---|---|
| Revenue | $485M— | $667M+37.5% | $804M+20.6% | $1.3B+61.7% | $2.2B+69.4% |
| EPS (dil.) | $-0.78— | $-0.97n/m | $-0.56n/m | $-2.69n/m | $2.62n/m |
| Free Cash Flow | -$132M— | -$100Mn/m | -$85Mn/m | $216Mn/m | $684M+217.0% |
| Gross Margin | 85.0% | 84.3%-0.8pp | 86.2%+1.9pp | 90.5%+4.3pp | 91.2%+0.7pp |
| Operating Margin | -26.2% | -25.8%+0.4pp | -17.4%+8.4pp | -43.1%-25.7pp | 20.1%+63.2pp |
| Net Margin | -26.4% | -23.8%+2.6pp | -11.3%+12.5pp | -37.2%-26.0pp | 24.1%+61.3pp |
Absolute figures with year-over-year change. Margins show the level with the change in percentage points (pp). “n/m” = not meaningful (prior ≤ 0); ⚠ marks a large percentage off a small base — read the dollar figure.
Avg target $203 (last qtr, 9 analysts) → $250 (last mo, 1) (+22.9%).
Buy-rated share 67% → 66% over ~3 months (-1pp).
| Quarter | Est. | Actual | Surprise |
|---|---|---|---|
| Apr 2026 | $0.57 | $1.01 | +77.5% |
| Feb 2026 | $0.94 | $1.24 | +32.3% |
| Oct 2025 | $1.04 | $0.80 | -23.1% |
| Jul 2025 | $0.19 | $0.45 | +136.6% |
| May 2025 | $0.02 | $0.13 | +647.6% |
| Feb 2025 | $0.25 | $0.36 | +43.0% |
| Oct 2024 | $-0.07 | $0.16 | +328.6% |
| Aug 2024 | $-0.33 | $-0.06 | +81.8% |
Net insider -$35.6M over 180 days (0 open-market buys, 65 sells). Insider buying is the informative signal; routine selling is normal.
Short interest, days-to-cover, and institutional-ownership change require a data-plan upgrade (not yet available).
Forward-return IC, quintile spread & hit rate publish on /performance as the tracking panel accrues enough no-look-ahead history.
Net buyback (repurchases less issuance) ÷ market cap, plus trailing dividend yield.
The QScore of 49 for RDDT suggests a neutral outlook, driven by a mix of strong growth and profitability scores, which are offset by lower value and risk scores. The stock scores high on growth, with revenue and EPS growth exceeding 69% and 205%, respectively, and exhibits strong profitability with an ROE of 25.5%. However, it trades at a premium, with a P/E of 44.6, and exhibits high volatility, with a beta of 1.9 and 60-day volatility of 71.2%. The long-term and short-term scores are closely aligned, indicating a consistent outlook.