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Dun & Bradstreet Holdings Inc

DNB
9.150USD
0.000
Close 10/31, 16:00ETQuotes delayed by 15 min
4.08BMarket Cap
LossP/E TTM

Dun & Bradstreet Holdings Inc

9.150
0.000
TradingKey Stock Score
Overall Financial Health
Valuation Dimensions
Earnings Forecast
Price Momentum
Institutional Confidence
Risk Assessment
Peer Comparison
TradingKey Stock Score
Overall Financial Health
Valuation Dimensions
Earnings Forecast
Price Momentum
Institutional Confidence
Risk Assessment
Peer Comparison

TradingKey Stock Score of Dun & Bradstreet Holdings Inc

Currency: USD Updated: 2025-08-25

Key Insights

Dun & Bradstreet Holdings Inc's Score

Industry at a Glance

Industry Ranking
110 / 210
Overall Ranking
276 / 4759
Industry
Professional & Commercial Services

Support & Resistance

No Data

Score Analysis

Current score
Previous score

Analyst Rating

Based on 0 analysts
--
Current Rating
9.150
Target Price
0.00%
Upside Space
Data disclaimer: Analyst ratings and target prices are provided by LSEG for informational purposes only and do not constitute investment advice.

Dun & Bradstreet Holdings Inc Highlights

StrengthsRisks
Dun & Bradstreet Holdings, Inc. is a global provider of business decisioning data and analytics. The Company clients embed its end-to-end solutions into their daily workflows to inform commercial credit decisions, confirm suppliers and improve salesforce productivity and gain visibility into key markets. Its solutions support its clients’ mission critical business operations by providing and curated data and analytics to help drive informed decisions and improved outcomes. The Company operates through two segments: North America and International. Its finance and risk solutions are used in the critical decisioning processes of finance, risk, compliance and procurement departments worldwide. Its sales and marketing solutions combine firmographic, personal contact, intent and non-traditional data to assist clients in optimizing their sales and marketing strategy by cleansing customer relationship management (CRM) data and narrowing their focus and efforts on the probability prospects.
High Profit Growth
The company's net income leads the industry, with the latest annual income totaling USD 1143.48.
Fairly Valued
The company’s latest is -103.39, at a medium 3-year percentile range.
Institutional Selling
The latest institutional holdings are 402.13M shares, decreasing 20.10% quarter-over-quarter.
Held by The Vanguard
Star Investor The Vanguard holds 31.64M shares of this stock.
Lower Market Activity
The company has less investor interest, with a 20-day turnover ratio of -0.40.

Financial Health

Currency: USD Updated: 2025-08-25

Its latest quarterly revenue reached 585.20M, representing a year-over-year increase of 1.56%, while its net profit experienced a year-over-year increase of 105.49%.

Score

Industry at a Glance

Previous score
0.00
Change
0

Financials

Key Metrics

Cash and cash equivalents
Total assets
Total liabilities
Free cash flow
No Data

Quality of Earnings

Operational Efficiency

Growth Potential

Shareholder Returns

Dun & Bradstreet Holdings Inc's Company Valuation

Currency: USD Updated: 2025-08-25

Score

Industry at a Glance

Previous score
0.00
Change
0

Valuation Dimensions

P/E
P/B
P/S
P/CF
Industry Ranking 110/210
No Data

Earnings Forecast

Currency: USD Updated: 2025-08-25

Score

Industry at a Glance

Previous score
0.00
Change
0

Support & Resistance

No Data
No Data

Financial Forecasting

EPS
Revenue
Net Profit
EBIT
No Data

Data disclaimer: Analyst ratings and target prices are provided by LSEG for informational purposes only and do not constitute investment advice.

Price Momentum

Currency: USD Updated: 2025-08-25

Score

Industry at a Glance

Previous score
0.00
Change
0

Support & Resistance

No Data

Indicators

The Indicators feature provides value and direction analysis for various instruments under a selection of technical indicators, together with a technical summary.

This feature includes nine of the commonly used technical indicators: MACD, RSI, KDJ, StochRSI, ATR, CCI, WR, TRIX and MA. You may also adjust the timeframe depending on your needs.

Please note that technical analysis is only part of investment reference, and there is no absolute standard for using numerical values to assess direction. The results are for reference only, and we are not responsible for the accuracy of the indicator calculations and summaries.

Indicators
Sell(1)
Neutral(0)
Buy(3)
Indicators
Value
Direction
MACD(12,26,9)
0.005
Buy
RSI(14)
71.172
Buy
STOCH(KDJ)(9,3,3)
84.257
Buy
ATR(14)
0.024
High Vlolatility
CCI(14)
346.822
Overbought
Williams %R
10.000
Overbought
TRIX(12,20)
0.000
Sell
StochRSI(14)
100.000
Overbought
Moving Average
Sell(1)
Neutral(0)
Buy(5)
Indicators
Value
Direction
MA5
9.114
Buy
MA10
9.105
Buy
MA20
9.105
Buy
MA50
9.100
Buy
MA100
9.014
Buy
MA200
10.033
Sell

Institutional Confidence

Currency: USD Updated: 2025-08-25

The latest institutional shareholding proportion is 90.08%, representing a quarter-over-quarter decrease of 14.39%. The largest institutional shareholder is The Vanguard, holding a total of 31.64M shares, representing 7.09% of shares outstanding, with 2.95% decrease in holdings.

Score

Industry at a Glance

Previous score
0.00
Change
0

Institutional Shareholding

No Data

Shareholder Activity

Name
Shares Held
Chg %
The Vanguard Group, Inc.
Star Investors
--
-100.00%
Glazer Capital, LLC
--
-100.00%
Dimensional Fund Advisors, L.P.
--
-100.00%
Fidelity Investments Canada ULC
--
-100.00%
BlackRock Institutional Trust Company, N.A.
--
-100.00%
Star Holdings
--
--
First Trust Capital Management L.P.
--
-100.00%
Magnetar Capital Partners LP
--
-100.00%
Jabbour (Anthony M)
--
-100.00%
Pentwater Capital Management LP
--
-100.00%
1
2

Risk Assessment

Currency: USD Updated: 2025-08-25

Score

Industry at a Glance

Previous score
0.00
Change
0
Beta vs S&P 500 index
1.15
VaR
+3.13%
240-Day Maximum Drawdown
+38.12%
240-Day Volatility
+27.30%

Return

Best Daily Return
60 days
+0.55%
120 days
+4.32%
5 years
+14.87%
Worst Daily Return
60 days
-0.33%
120 days
-4.65%
5 years
-16.12%
Sharpe Ratio
60 days
+3.08
120 days
+0.34
5 years
-0.48

Risk Assessment

Maximum Drawdown
240 days
+38.12%
3 years
+47.26%
5 years
+71.83%
Return-to-Drawdown Ratio
240 days
-0.58
3 years
-0.18
5 years
-0.18
Skewness
240 days
-0.43
3 years
-0.06
5 years
-0.08

Volatility

Realised Volatility
240 days
+27.30%
5 years
+33.64%
Standardised True Range
240 days
+2.12%
5 years
+4.51%
Downside Risk-Adjusted Return
120 days
+35.64%
240 days
+35.64%
Maximum Daily Upside Volatility
60 days
+2.02%
Maximum Daily Downside Volatility
60 days
+1.76%

Liquidity

Average Turnover Rate
60 days
+0.93%
120 days
+2.18%
5 years
--
Turnover Deviation
20 days
-24.22%
60 days
-15.18%
120 days
+97.72%

Peer Comparison

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