Loading live market data…

DoubleVerify Holdings, Inc.

NYSE:DV

$11.6 USD

-$0.31 (-2.6%)

Volume
1.52M
Average Volume
3.08M
Market Capitalization
$1.78B
P/E Ratio
33.74
Dividend Yield
0.00%
Price Target
$13.00
Year High
$16.82
Year Low
$7.64
Day High
Day Low
Payout Ratio
$0.00
Current Ratio
$4.77

CCURRENT INSTITUTIONAL OWNERSHIP PERCENTAGE

1.53%

Investors Holding

11

change: -321 | last: 332

Increased Positions

5

change: -200 | last: 205

Reduced Positions

4

change: -83 | last: 87

New Positions

2

change: -66 | last: 68

Sold Positions

317

change: 278 | last: 39

Total Calls

-

Total Puts

-

Put-Call Ratio

0.00

change: -76.5363 | last: 0.7654

Total Invested

26.7M

DV Enterprise Value History

Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2025-12-31 $11.44 162.78M $1.86B $259.04M $99.55M $1.7B
2024-12-31 $19.21 170.52M $3.28B $292.82M $91.67M $3.07B
2023-12-31 $36.78 167.8M $6.17B $310.13M $86.39M $5.95B
2022-12-31 $21.96 163.88M $3.6B $267.81M $83.75M $3.41B
2021-12-31 $33.28 162.3M $5.4B $221.59M $4.55M $5.18B
2020-12-31 $36.00 156.68M $5.64B $33.35M $26.96M $5.63B
2019-12-31 $36.00 156.68M $5.64B $10.92M $78.08M $5.71B
2018-12-31 $36.00 155.33M $5.59B $30.04M $58.64M $5.62B
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-03-31 $9.50 160.77M $1.53B $173.8M $95.54M $1.45B
2025-12-31 $11.44 162.78M $1.86B $259.04M $99.55M $1.7B
2025-09-30 $11.98 162.03M $1.94B $200.73M $103.11M $1.84B
2025-06-30 $14.97 162.74M $2.44B $211.78M $103.63M $2.33B
2025-03-31 $13.37 165.12M $2.21B $156.36M $105.34M $2.16B
2024-12-31 $19.21 168.89M $3.24B $292.82M $91.67M $3.04B
2024-09-30 $16.84 170.25M $2.87B $311.91M $94.19M $2.65B
2024-06-30 $19.74 171.63M $3.39B $256.07M $90.62M $3.22B
2024-03-31 $34.07 171.31M $5.84B $302.02M $89.95M $5.62B
2023-12-31 $36.78 170.37M $6.27B $310.13M $86.39M $6.04B
2023-09-30 $27.95 168.61M $4.71B $259.21M $88.39M $4.54B
2023-06-30 $38.92 166.54M $6.48B $295.44M $89.3M $6.28B