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Globant S.A. (GLOB)

USD32.08 +1.16 (+3.74%)
LU NYSE Technology Information Technology Services
Address 37A Avenue J.F. Kennedy 1855
Luxembourg, LU
CEO Martín Migoya
IPO 2014-07-18
CIK 1557860 ISIN LU0974299876

Explore sections of this company profile

Description

Globant S.A., together with its subsidiaries, provides technology services in the United States, rest of North America, Latin America, Europe, and internationally. The company offers Digital Studio, which integrates artificial intelligence into the software development lifecycle; GUT Studio, which allows clients to better connect brands to end-consumers through experiential marketing; and Enterprise Studio, which leverages tailored technology for streamlined operations and productivity. It also provides AI Industry Studios for the financial services; media, entertainment, sports, and leisure; healthcare and life sciences; CPG, retail, and automotive; gaming and EdTech; airlines; energy, oil, and gas; and high tech and professional services sectors. In addition, the company offers AI Pods, a subscription-based delivery model for AI-powered services; Globant Enterprise AI, an agentic innovation platform; Corporate Hub, which grounds intelligence in how the organization operates; AI Hub, which connects and governs foundation and custom models, enabling industry-specific fine-tuning, continuous evaluation, and optimization; and Agents Hub, which enables autonomous action through the creation and coordination of agents and agentic workflows that operate across systems, teams, and physical environments. Further, it provides various agentic suites, including GeneXus for enterprise systems evolution; Globant CODA for software development; Navigate Digital Twin for process optimization; Navigate Service Assist for support; and Fusion, which enhances marketing, communications, and advertising with AI at the core, as well as StarMeUp, an employee engagement and talent experience platform; and DaXia, an embedded finance accelerator platform. The company has a collaboration with Pharma Mar, S.A. for cancer drug discovery through artificial intelligence. The company was formerly known as IT Outsourcing S.L. and changed its name to Globant S.A. in December 2012. Globant S.A. was founded in 2003 and is based in Luxembourg, Luxembourg.

News Sentiment (7d)
Market Cap & Enterprise Value
Merger & Acquisition History

No mergers or acquisitions recorded for this company.

Technical Outlook
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Signal Summary Loading…
Indicator 1D1W2W3W1M
Each column is computed on that timeframe's candles (1D = daily, 1W ≈ weekly, 1M ≈ monthly), not on the same last day. ▲ bullish · ▼ bearish · — neutral. The Net row counts signals per column; hover any cell (or the indicator name) to see the exact rule behind it.
Day Score & sub-scores
Statistical fingerprint & regime detail
Conditional historical analysis
Customize analysis (advanced)
Indicative levels generated algorithmically. Not financial advice.
Risk Profile
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Price Chart
Averages
Trend
Price
Levels
Draw
USD32.08 +1.16 (+3.74%)
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Volume Profile
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Liquidity & share structure
Average Volume
2M
Beta
1.02
Float Shares
38.37M
Free Float %
88.9%
Price Performance
1D5D1M3M6M YTD1Y3Y5Y10YMax
+14.17% +0.44% -22.13% -19.71% -33.92% -40.48% -63.10% -74.11% -81.70% +5.25% +245.87%
Rolling Volatility
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Drawdown
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Relative Strength
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Monthly Returns Heatmap
From To
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Annual Monthly Returns
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Daily Returns Distribution
vs.
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Revenue flow

Revenue by geography

Revenue by segment

From To

Revenue composition

From To

By product

By geography

Financial Statements

Income Statement

Balance Sheet

Cash Flow Statement

Key Metrics

Financial Ratios

Employees

Financial Growth (CAGR)

Market Data

Analyst Consensus (29 ratings, all time) Buy
Price Targets & DCF
Current price
32.08
Low 40.00 +24.7%
Consensus 54.56 +70.1%
Median 50.00 +55.9%
High 78.00 +143.2%
DCF (Unlevered) 132.90 +314.3%
DCF (Levered) 98.87 +208.2%

DCF figures are point estimates: small changes in growth or discount-rate assumptions move them materially. Read them as a reference, not a precise target.

Ratings Trend (MoM) 56% Bullish
Rating 2026-05 Change
Strong Buy 5 0
Buy 9 +1
Hold 11 0
Sell 0 0
Strong Sell 0 0
Price Target Summary
Period # Analysts Avg Target
Last Month 7
53.71
+67.5%
Last Quarter 11
55.64
+73.5%
Last Year 18
66.17
+106.3%
All Time 38
148.11
+361.8%
Quality scores
Altman Z-Score
2.45
Grey zone
Piotroski F-Score
6 / 9
Average
MOAT Score
4 / 10
Developing
Composite Rating
A-
Overall Score
4 / 5
High
DCF Score
5 / 5
High
ROE Score
3 / 5
Medium
ROA Score
4 / 5
High
D/E Score
2 / 5
Medium
P/E Score
2 / 5
Medium
P/Book Score
4 / 5
High
Operational MOAT
✗ Below peers
  • Revenue growth Information Technology Services: +10.1%
    +1.6% Q1'26: -0.7% (vs Q1'25)
  • EPS growth Information Technology Services: +16.7%
    -38.4% Q1'26: +25.0% (vs Q1'25)
  • FCF margin FCF growth · Information Technology Services: +32.8%
    +7.0% Q1'26: +5.9% (vs Q1'25)
  • EBIT margin Information Technology Services: +9.0%
    +5.7% Q1'26: +9.1% (vs Q1'25)
  • ROIC Information Technology Services: +9.5%
    +4.4% Q1'26: +6.9% (vs Q1'25)
  • Share dilution Information Technology Services: +0.0%
    +0.9% Q1'26: -4.1% (vs Q1'25)
  • Debt / EBITDA Net debt/EBITDA · Information Technology Services: -0.83×
    1.58× Q1'26: 1.24× (vs Q1'25)
Valuation Multiples From To
Price Forecast (3Y) From To
Model
Adjust
P/E
Theoretical Return — If Invested Today

* These projections are based on analyst consensus estimates and user-defined valuation multiples. This table is for informational purposes only and does not constitute a recommendation to buy or sell any security. Past performance is not indicative of future results.

DCF Interactive Model (UFCF)
Projection years:
Market assumptions
WACC components (optional)
Ke (Cost of Equity) = Rf + β (1.04) × ERP
WACC = 79% × Ke + 21% × Kd (4.3%) × (1−t)

Modifying these values recalculates WACC automatically.

Business assumptions
Intrinsic value (base): 132.90 Current price: 32.08
Enterprise Value: Equity Value: Terminal Value: TV as % of EV:

Base values reflect the latest available data for this company and market conditions.

Consensus Estimates
Metric Dec 2015
actual
Dec 2016
actual
Dec 2017
actual
Dec 2018
actual
Dec 2019
actual
Dec 2020
actual
Dec 2021
actual
Dec 2022
actual
Dec 2023
actual
Dec 2024
actual
Dec 2025
actual
Dec 2026
18 Rev. Ana.
14 EPS Ana.
Dec 2027
17 Rev. Ana.
14 EPS Ana.
Dec 2028
13 Rev. Ana.
8 EPS Ana.
Dec 2029
12 Rev. Ana.
6 EPS Ana.
Revenue
253.80M
est: 250.95M (+1.1%)
322.86M
est: 321.61M (+0.4%)
413.44M
est: 407.46M (+1.5%)
522.31M
est: 521.32M (+0.2%)
659.33M
est: 658.19M (+0.2%)
814.14M
est: 804.28M (+1.2%)
1.30B
est: 1.28B (+1.6%)
1.78B
est: 1.78B (+0.0%)
2.10B
est: 2.28B (-8.3%)
2.42B
est: 2.42B (-0.1%)
2.45B
est: 2.45B (+0.2%)
2.48B
2.47B – 2.49B
+1.2% YoY
2.61B
2.55B – 2.69B
+5.3% YoY
2.77B
2.77B – 2.77B
+5.9% YoY
3.17B
3.06B – 3.25B
+14.5% YoY
EBITDA
33.03M
est: 41.69M (-20.8%)
61.01M
est: 60.81M (+0.3%)
56.71M
est: 52.25M (+8.5%)
91.16M
est: 81.24M (+12.2%)
112.98M
est: 62.47M (+80.9%)
133.88M
est: 80.15M (+67.0%)
215.62M
est: 142.84M (+50.9%)
314.85M
est: 160.58M (+96.1%)
357.95M
est: 369.40M (-3.1%)
417.01M
est: 390.94M (+6.7%)
299.47M
est: 396.23M (-24.4%)
401.14M
399.53M – 402.75M
+1.2% YoY
422.35M
412.71M – 435.20M
+5.3% YoY
447.41M
447.12M – 447.71M
+5.9% YoY
512.09M
494.01M – 526.00M
+14.5% YoY
EBIT
51.04M
est: 19.42M (+162.8%)
51.01M
est: 49.24M (+3.6%)
39.43M
est: 33.06M (+19.3%)
68.14M
est: 63.13M (+7.9%)
74.14M
est: 77.44M (-4.3%)
85.40M
est: 81.12M (+5.3%)
135.33M
est: 133.93M (+1.0%)
206.92M
est: 167.82M (+23.3%)
218.09M
est: 222.31M (-1.9%)
254.28M
est: 235.27M (+8.1%)
139.15M
est: 238.46M (-41.6%)
241.41M
240.44M – 242.38M
+1.2% YoY
254.18M
248.38M – 261.91M
+5.3% YoY
269.26M
269.08M – 269.44M
+5.9% YoY
308.18M
297.30M – 316.55M
+14.5% YoY
Net Income
31.62M
est: 26.01M (+21.6%)
36.71M
est: 35.80M (+2.5%)
31.17M
est: 30.23M (+3.1%)
51.60M
est: 48.91M (+5.5%)
54.02M
est: 51.82M (+4.2%)
54.22M
est: 52.41M (+3.5%)
96.07M
est: 89.42M (+7.4%)
148.89M
est: 148.59M (+0.2%)
158.54M
est: 168.84M (-6.1%)
165.73M
est: 288.90M (-42.6%)
102.92M
est: 272.83M (-62.3%)
281.68M
274.98M – 288.39M
+3.2% YoY
300.50M
285.79M – 315.20M
+6.7% YoY
339.20M
210.25M – 468.15M
+12.9% YoY
321.97M
307.19M – 333.34M
-5.1% YoY
SGA
61.62M
est: 59.29M (+3.9%)
69.31M
est: 81.78M (-15.2%)
92.88M
est: 106.29M (-12.6%)
110.54M
est: 116.11M (-4.8%)
124.84M
est: 165.34M (-24.5%)
161.91M
est: 209.62M (-22.8%)
263.58M
est: 300.30M (-12.2%)
354.09M
est: 381.15M (-7.1%)
405.79M
est: 480.18M (-15.5%)
480.40M
est: 508.18M (-5.5%)
629.33M
est: 515.05M (+22.2%)
521.44M
519.34M – 523.53M
+1.2% YoY
549.01M
536.48M – 565.71M
+5.3% YoY
581.59M
581.20M – 581.97M
+5.9% YoY
665.66M
642.15M – 683.74M
+14.5% YoY
EPS
0.93
est: 0.96 (-3.0%)
1.07
est: 1.14 (-6.3%)
0.89
est: 1.27 (-29.9%)
1.44
est: 1.70 (-15.5%)
1.48
est: 2.24 (-34.0%)
1.41
est: 2.38 (-40.7%)
2.35
est: 3.73 (-37.0%)
3.55
est: 5.08 (-30.1%)
3.72
est: 3.93 (-5.2%)
3.82
est: 6.41 (-40.4%)
2.33
est: 6.11 (-61.9%)
6.25
6.11 – 6.41
+2.3% YoY
6.62
6.35 – 7.00
+6.0% YoY
7.04
4.67 – 10.40
+6.3% YoY
7.15
6.83 – 7.41
+1.7% YoY
Recent Grade Changes (3M)
Date Firm Previous New Grade Action
2026-05-15 Needham Buy Buy Maintain
2026-05-05 UBS Neutral Neutral Maintain
Historical Ratings (3M)
Date Rating Overall DCF ROE ROA D/E P/E P/B
2026-05-15 A- 4/5 5/5 3/5 4/5 2/5 2/5 4/5
2026-05-14 A- 4/5 5/5 3/5 4/5 2/5 2/5 4/5
2026-05-13 A- 4/5 5/5 3/5 4/5 2/5 2/5 4/5
2026-05-12 A- 4/5 5/5 3/5 4/5 2/5 2/5 4/5
2026-05-11 A- 4/5 5/5 3/5 4/5 2/5 2/5 4/5
2026-05-08 A- 4/5 5/5 3/5 4/5 2/5 3/5 4/5
2026-05-07 A- 4/5 5/5 3/5 4/5 2/5 3/5 4/5
2026-05-06 A- 4/5 5/5 3/5 4/5 2/5 3/5 4/5
2026-05-05 A- 4/5 5/5 3/5 4/5 2/5 3/5 4/5
2026-05-04 A- 4/5 5/5 3/5 4/5 2/5 3/5 4/5
2026-05-01 A- 4/5 5/5 3/5 3/5 2/5 3/5 4/5
2026-04-30 A- 4/5 5/5 3/5 3/5 2/5 3/5 4/5
2026-04-29 B+ 3/5 5/5 2/5 3/5 2/5 2/5 4/5
2026-04-28 B+ 3/5 5/5 2/5 3/5 2/5 2/5 4/5
2026-04-27 B+ 3/5 5/5 2/5 3/5 2/5 2/5 4/5
2026-04-24 B 3/5 4/5 2/5 3/5 2/5 2/5 4/5
2026-04-23 B 3/5 4/5 2/5 3/5 2/5 2/5 4/5
2026-04-22 B 3/5 4/5 2/5 3/5 2/5 2/5 4/5
2026-04-21 B+ 3/5 4/5 2/5 4/5 2/5 2/5 4/5
2026-04-20 B+ 3/5 4/5 2/5 4/5 2/5 2/5 4/5
2026-04-17 B+ 3/5 4/5 2/5 4/5 2/5 2/5 4/5
2026-04-16 B+ 3/5 4/5 2/5 4/5 2/5 2/5 4/5

Owner Earnings

Owner's Earnings (history) From To
Owner alignment
Owner's Earnings TTM
301.41M
OE per share TTM
6.72
Owner's Yield
17.98%
Maintenance CapEx ratio
51.30%
Maint CapEx / Avg PPE
15.0%

Ownership Overview

Ownership breakdown
At a glance
Institutional holders
143
Total invested
555.43M
Insider transactions (90d)
0
Beneficial owners (>5%)
29
Beneficial owners (>5%)
# Reporting person Amount owned % of class Sole voting Shared voting Sole dispositive Shared dispositive Type Citizenship Filing date SEC filing
1 Ironwood Management, LLC 5.16M 15.50% 5.16M IA Delaware 2015-02-17
2 Riverwood Capital LLC 5.16M 15.50% 5.16M 5.16M OO Delaware 2015-02-17
3 Riverwood Capital Management L.P. 5.16M 15.50% 5.16M IA Cayman Islands 2015-02-17
4 FTVentures Management III, L.L.C. 4.66M 11.00% 4.66M 4.66M OO Delaware 2015-02-13
5 52-0556948 3.09M 7.40% 504.7K 3.09M IA Maryland 2023-02-14
6 Wasatch Advisors, Inc. 87-0319391 2.82M 6.80% 2.82M 2.82M IA 2022-02-10
7 Riverwood Capital GP Ltd. 2.44M 7.30% 2.44M 2.44M OO Cayman Islands 2015-02-17
8 JPMORGAN CHASE & CO.13-2624428 2.29M 5.40% 1.95M 15.2K 2.29M HC Delaware 2024-01-10
9 Wellington Group Holdings LLP 2.27M 6.32% 1.98M HC Delaware 2019-02-12
10 Wellington Investment Advisors Holdings LLP 2.27M 6.32% 1.98M HC Delaware 2019-02-12
11 Wellington Management Group LLP 2.27M 6.32% 1.98M HC Massachusetts 2019-02-12
12 GIC Private Limited 2.22M 5.13% 1.86M 356.8K 1.86M 356.8K CO Republic of Singapore 2024-06-20
13 JPMorgan Chase & Co. 2.20M 6.30% 2.05M 5.7K 2.19M 5.7K HC Delaware 2017-01-25
14 Morgan Stanley 2.17M 5.20% 2.05M 2.17M HC, CO 2023-02-09
15 Wellington Management Company LLP 2.08M 5.80% 1.84M IA Delaware 2019-02-12
16 Page 2 of 6 Pages 1.72M 5.07% 1.43M 291.2K 1.43M 291.2K CO Singapore 2015-10-13
17 Riverwood Capital Partners L.P. 1.40M 4.20% 1.40M 1.40M PN Cayman Islands 2015-02-17
18 Waddell & Reed Financial, Inc. Tax ID No. 51-0261715 1.24M 11.00% 1.24M HC Delaware 2017-02-14
19 (None) 1.22M 3.08% 1.20M 21.4K 1.20M 21.4K CO Singapore 2021-02-12
20 JPMORGAN CHASE & CO13-2624428 1.19M 3.30% 1.07M 1.19M HC Delaware 2018-11-09
21 Morgan Stanley Asia Limited 854.2K 2.20% 481.7K 854.2K IA Delaware. 2020-12-10
22 Capital World Investors ** 830.1K 2.30% 830.1K IA Delaware 2018-06-08
23 Morgan Stanley Investment Management Inc. 805.3K 2.20% 805.3K IA, CO Delaware. 2020-02-14
24 Ivy Investment Management Company Tax ID No. 03-0481447 650.4K 11.00% 650.4K IA Delaware 2017-02-14
25 Waddell & Reed Financial Services, Inc. Tax ID No. 43-1414157 585.1K 11.00% HC Delaware 2017-02-14
26 Waddell & Reed Investment Management Company Tax ID No. 48-1106973 585.1K 11.00% 585.1K IA Delaware 2017-02-14
27 Waddell & Reed, Inc. Tax ID No. 43-1235675 585.1K 11.00% 585.1K BD Delaware 2017-02-14
28 Riverwood Capital Partners (Parallel – B) L.P. 563.4K 1.70% 563.4K 563.4K PN Cayman Islands 2015-02-17
29 Riverwood Capital Partners (Parallel – A) L.P. 481.1K 1.40% 481.1K 481.1K PN Cayman Islands 2015-02-17

Institutional Activity (13F)

Institutional ownership trend From To
13F snapshot — 2026 Q1
Investors holding
143
-218 vs prev Q
New positions
28
Closed positions
229
Increased
76
Reduced
43
Put/Call ratio
2.39
Calls held
19.3K
Puts held
46.1K
Top institutional holders
# Investor Shares / Δ Mkt value / Δ Own% / Δ Weight% / Δ Avg px / Perf. Hold / Status
1 BLACKROCK, INC. 2.51M +50.7K (+2.1%) 164.19M +23.0M (+16.3%) 5.64% +0.089 pp 0.00% +0.000 pp USD138.24 -52.7% 6 qtrs
2 BRANDES INVESTMENT PARTNERS, LP 2.40M +91.7K (+4.0%) 156.94M +24.4M (+18.5%) 5.39% +0.182 pp 1.19% +0.132 pp USD57.69 +13.3% 2 qtrs
3 CAPITAL INTERNATIONAL INVESTORS 2.28M +218.6K (+10.6%) 149.29M +30.8M (+26.0%) 5.13% +0.470 pp 0.02% +0.004 pp USD163.70 -60.1% 25 qtrs
4 ARGA INVESTMENT MANAGEMENT, LP 2.03M -28.8K (-1.4%) 132.62M +14.6M (+12.3%) 4.56% -0.086 pp 3.62% +0.486 pp USD57.62 +13.5% 3 qtrs
5 D. E. SHAW & CO., INC. 1.88M -250.0K (-11.7%) 123.00M +690.3K (+0.6%) 4.23% -0.584 pp 0.07% -0.002 pp USD65.63 -0.4% 3 qtrs
6 ROYAL BANK OF CANADA 1.78M +138.6K (+8.5%) 116.21M +22.2M (+23.6%) 3.99% +0.295 pp 0.02% +0.004 pp USD107.27 -39.1% 37 qtrs
7 WASATCH ADVISORS LP 1.24M +198.3K (+19.0%) 81.28M +21.3M (+35.5%) 2.79% +0.435 pp 0.48% +0.160 pp USD125.17 -47.8% 44 qtrs
8 ALLIANCEBERNSTEIN L.P. 1.18M +347.3K (+41.7%) 77.11M +29.4M (+61.5%) 2.65% +0.772 pp 0.02% +0.009 pp USD84.37 -22.5% 32 qtrs
9 MORGAN STANLEY 1.03M +108.0K (+11.7%) 67.17M +14.4M (+27.3%) 2.31% +0.233 pp 0.00% +0.001 pp USD101.03 -35.3% 46 qtrs
10 NUVEEN, LLC 1.03M +457.0K (+80.2%) 67.14M +34.4M (+105.2%) 2.31% +1.021 pp 0.02% +0.009 pp USD90.79 -28.0% 4 qtrs
11 PRINCIPAL FINANCIAL GROUP INC 815.7K +630.4K (+340.3%) 53.32M +42.7M (+401.6%) 1.83% +1.415 pp 0.03% +0.022 pp USD88.43 -26.1% 23 qtrs
12 SANDS CAPITAL MANAGEMENT, LLC 770.6K -77.7K (-9.2%) 50.37M +1.7M (+3.5%) 1.73% -0.183 pp 0.15% +0.019 pp USD151.93 -57.0% 24 qtrs
13 RIVERBRIDGE PARTNERS LLC 768.8K -122.8K (-13.8%) 50.25M -904.6K (-1.8%) 1.73% -0.285 pp 0.94% +0.079 pp USD88.49 -26.1% 35 qtrs
14 UBS GROUP AG 667.8K +218.4K (+48.6%) 43.65M +17.9M (+69.3%) 1.50% +0.486 pp 0.01% +0.003 pp USD104.41 -37.4% 45 qtrs
15 DRIEHAUS CAPITAL MANAGEMENT LLC 665.0K +665.0K (+100.0%) 43.47M +43.5M (+100.0%) 1.49% +1.494 pp 0.30% +0.295 pp USD65.37 +0.0% 1 qtrs NEW
16 BNP PARIBAS ARBITRAGE, SNC 653.1K -130.8K (-16.7%) 42.70M -2.3M (-5.1%) 1.47% -0.302 pp 0.02% -0.005 pp USD66.27 -1.4% 27 qtrs
17 DEUTSCHE BANK AG\ 593.2K +153.4K (+34.9%) 38.78M +13.5M (+53.7%) 1.33% +0.340 pp 0.01% +0.004 pp USD126.73 -48.4% 46 qtrs
18 ALYESKA INVESTMENT GROUP, L.P. 572.9K -409.8K (-41.7%) 37.45M -18.9M (-33.6%) 1.29% -0.931 pp 0.11% -0.065 pp USD121.43 -46.2% 8 qtrs
19 DIMENSIONAL FUND ADVISORS LP 559.6K -41.5K (-6.9%) 36.58M +2.1M (+6.0%) 1.26% -0.099 pp 0.01% +0.000 pp USD135.72 -51.8% 39 qtrs
20 SEI INVESTMENTS CO 523.6K +57.0K (+12.2%) 34.23M +7.5M (+27.8%) 1.18% +0.123 pp 0.03% +0.005 pp USD163.72 -60.1% 42 qtrs
21 AMERIPRISE FINANCIAL INC 492.0K +215.4K (+77.9%) 32.16M +16.3M (+102.7%) 1.11% +0.481 pp 0.01% +0.004 pp USD136.94 -52.3% 30 qtrs
22 TWO SIGMA INVESTMENTS, LP 479.6K -180.7K (-27.4%) 31.35M -6.5M (-17.3%) 1.08% -0.413 pp 0.04% -0.012 pp USD63.02 +3.7% 3 qtrs
23 FEDERATED HERMES, INC. 468.1K +461.9K (+7,560.4%) 30.60M +30.2M (+8,627.1%) 1.05% +1.038 pp 0.05% +0.051 pp USD65.27 +0.2% 2 qtrs
24 CITIGROUP INC 448.3K +124.1K (+38.3%) 29.30M +10.7M (+57.5%) 1.01% +0.275 pp 0.01% +0.005 pp USD105.82 -38.2% 46 qtrs
25 FIRST TRUST ADVISORS LP 439.6K +288.4K (+190.8%) 28.73M +20.1M (+231.3%) 0.99% +0.647 pp 0.02% +0.014 pp USD82.84 -21.1% 22 qtrs
26 VOLORIDGE INVESTMENT MANAGEMENT, LLC 439.1K -220.3K (-33.4%) 28.70M -9.1M (-24.1%) 0.99% -0.502 pp 0.10% -0.026 pp USD78.24 -16.4% 3 qtrs
27 STATE STREET CORP 433.1K +11.4K (+2.7%) 28.31M +4.1M (+17.0%) 0.97% +0.021 pp 0.00% +0.000 pp USD130.27 -49.8% 27 qtrs
28 MILLENNIUM MANAGEMENT LLC 422.8K +73.4K (+21.0%) 27.64M +7.6M (+37.9%) 0.95% +0.161 pp 0.01% +0.003 pp USD104.79 -37.6% 37 qtrs
29 MARSHALL WACE, LLP 417.6K +103.0K (+32.7%) 27.30M +9.2M (+51.2%) 0.94% +0.228 pp 0.02% +0.007 pp USD68.57 -4.7% 9 qtrs
30 QUANTINNO CAPITAL MANAGEMENT LP 400.5K +261.0K (+187.1%) 26.18M +18.2M (+227.0%) 0.90% +0.585 pp 0.05% +0.031 pp USD64.94 +0.7% 9 qtrs
31 PRICE T ROWE ASSOCIATES INC /MD/ 395.7K -332.7K (-45.7%) 25.87M -15.9M (-38.1%) 0.89% -0.755 pp 0.00% -0.002 pp USD189.08 -65.4% 34 qtrs
32 J. GOLDMAN & CO LP 372.6K +372.6K (+100.0%) 24.36M +24.4M (+100.0%) 0.84% +0.837 pp 0.64% +0.641 pp USD65.37 +0.0% 1 qtrs NEW
33 JPMORGAN CHASE & CO 372.3K -964.2K (-72.1%) 24.34M -52.4M (-68.3%) 0.84% -2.181 pp 0.00% -0.003 pp USD185.59 -64.8% 46 qtrs
34 BANK OF AMERICA CORP /DE/ 366.1K -134.6K (-26.9%) 23.93M -4.8M (-16.7%) 0.82% -0.308 pp 0.00% 0.000 pp USD134.71 -51.5% 43 qtrs
35 BW GESTAO DE INVESTIMENTOS LTDA. 359.5K -22.5K (-5.9%) 23.50M +1.6M (+7.2%) 0.81% -0.054 pp 0.53% -0.428 pp USD124.55 -47.5% 6 qtrs
36 FIL LTD 353.7K +140.7K (+66.1%) 23.12M +10.9M (+89.2%) 0.79% +0.314 pp 0.02% +0.008 pp USD80.71 -19.0% 3 qtrs
37 BROWN ADVISORY INC 352.6K +352.6K (+100.0%) 23.05M +23.0M (+100.0%) 0.79% +0.792 pp 0.03% +0.032 pp USD65.37 +0.0% 1 qtrs NEW
38 SG CAPITAL MANAGEMENT LLC 350.0K +350.0K (+100.0%) 22.88M +22.9M (+100.0%) 0.79% +0.787 pp 2.20% +2.197 pp USD65.37 +0.0% 1 qtrs NEW
39 CITADEL ADVISORS LLC 343.3K -50.7K (-12.9%) 22.44M -164.9K (-0.7%) 0.77% -0.118 pp 0.00% 0.000 pp USD156.53 -58.2% 13 qtrs
40 ANTIPODES PARTNERS LTD 319.9K +319.9K (+100.0%) 20.91M +20.9M (+100.0%) 0.72% +0.719 pp 0.44% +0.439 pp USD65.37 +0.0% 1 qtrs NEW
41 GOTHAM ASSET MANAGEMENT, LLC 318.9K +132.5K (+71.1%) 20.85M +10.2M (+94.9%) 0.72% +0.296 pp 0.08% +0.030 pp USD68.87 -5.1% 32 qtrs
42 SUSQUEHANNA INTERNATIONAL GROUP, LLP 311.0K +258.0K (+486.8%) 20.33M +17.3M (+568.5%) 0.70% +0.579 pp 0.00% +0.002 pp USD74.61 -12.4% 38 qtrs
43 MANUFACTURERS LIFE INSURANCE COMPANY, THE 291.0K +89.1K (+44.2%) 19.02M +7.4M (+64.2%) 0.65% +0.198 pp 0.02% +0.006 pp USD59.83 +9.3% 2 qtrs
44 BARCLAYS PLC 281.4K +258.9K (+1,148.7%) 18.40M +13.9M (+312.0%) 0.63% +0.582 pp 0.00% +0.003 pp USD76.59 -14.6% 22 qtrs
45 CAPITAL WORLD INVESTORS 273.0K +273.0K (+100.0%) 17.84M +17.8M (+100.0%) 0.61% +0.613 pp 0.00% +0.002 pp USD65.37 +0.0% 1 qtrs NEW
46 COOKE & BIELER LP 259.0K +259.0K (+100.0%) 16.93M +16.9M (+100.0%) 0.58% +0.582 pp 0.18% +0.177 pp USD65.37 +0.0% 1 qtrs NEW
47 BORDER TO COAST PENSIONS PARTNERSHIP LTD 243.3K +29.2K (+13.6%) 15.94M +3.6M (+29.7%) 0.55% +0.063 pp 0.28% +0.064 pp USD120.96 -46.0% 8 qtrs
48 GEODE CAPITAL MANAGEMENT, LLC 226.2K -46.3K (-17.0%) 14.79M -849.3K (-5.4%) 0.51% -0.107 pp 0.00% 0.000 pp USD146.68 -55.4% 27 qtrs
49 STRS OHIO 217.0K +2.0 (+0.0%) 14.19M +1.7M (+13.9%) 0.49% -0.002 pp 0.05% +0.007 pp USD88.11 -25.8% 9 qtrs
50 PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO 209.6K -3.3K (-1.5%) 13.70M +1.5M (+12.2%) 0.47% -0.010 pp 0.04% +0.004 pp USD121.39 -46.1% 6 qtrs
51 SQUAREPOINT OPS LLC 209.0K -361.6K (-63.4%) 13.66M -19.1M (-58.3%) 0.47% -0.818 pp 0.01% -0.018 pp USD67.54 -3.2% 15 qtrs
52 ARTISAN PARTNERS LIMITED PARTNERSHIP 206.9K +4.8K (+2.4%) 13.53M +1.9M (+16.6%) 0.46% +0.009 pp 0.02% +0.004 pp USD145.17 -55.0% 17 qtrs
53 BANK OF NOVA SCOTIA 195.6K -182.8K (-48.3%) 12.79M -8.9M (-41.1%) 0.44% -0.415 pp 0.02% -0.019 pp USD58.61 +11.5% 7 qtrs
54 GOLDMAN SACHS GROUP INC 191.8K +12.8K (+7.2%) 12.54M +2.3M (+22.1%) 0.43% +0.027 pp 0.00% +0.000 pp USD98.23 -33.5% 40 qtrs
55 BALYASNY ASSET MANAGEMENT L.P. 186.8K -57.2K (-23.4%) 12.21M -1.8M (-12.8%) 0.42% -0.131 pp 0.02% -0.002 pp USD88.57 -26.2% 7 qtrs
56 VANGUARD GROUP INC 185.0K -17.8K (-8.8%) 12.09M +457.4K (+3.9%) 0.42% -0.042 pp 0.00% +0.000 pp USD115.00 -43.2% 46 qtrs
57 AMUNDI 173.1K -46.3K (-21.1%) 11.32M -1.9M (-14.4%) 0.39% -0.106 pp 0.00% -0.001 pp USD59.99 +9.0% 14 qtrs
58 T. ROWE PRICE INVESTMENT MANAGEMENT, INC. 167.0K +167.0K (+618,600.0%) 10.92M +10.9M (+545,900.0%) 0.38% +0.375 pp 0.01% +0.007 pp USD65.38 0.0% 7 qtrs
59 EXODUSPOINT CAPITAL MANAGEMENT, LP 164.2K +153.3K (+1,407.5%) 10.74M +10.1M (+1,617.4%) 0.37% +0.344 pp 0.08% +0.078 pp USD64.84 +0.8% 7 qtrs
60 CLEARBRIDGE INVESTMENTS, LLC 156.7K +30.6K (+24.3%) 10.24M +3.0M (+41.6%) 0.35% +0.068 pp 0.01% +0.003 pp USD141.75 -53.9% 15 qtrs
61 LAZARD ASSET MANAGEMENT LLC 152.7K +152.7K (+100.0%) 9.98M +10.0M (+100.0%) 0.34% +0.343 pp 0.02% +0.017 pp USD65.37 +0.0% 1 qtrs NEW
62 COMGEST GLOBAL INVESTORS S.A.S. 147.4K +1.0K (+0.7%) 9.63M +1.2M (+14.7%) 0.33% +0.001 pp 0.17% +0.023 pp USD174.78 -62.6% 34 qtrs
63 BANK OF NEW YORK MELLON CORP 143.3K +18.1K (+14.5%) 9.37M +2.2M (+30.4%) 0.32% +0.040 pp 0.00% +0.000 pp USD83.78 -22.0% 46 qtrs
64 NEW YORK STATE COMMON RETIREMENT FUND 138.1K +— (+0.0%) 9.03M +1.1M (+13.9%) 0.31% -0.001 pp 0.01% +0.002 pp USD74.79 -12.6% 31 qtrs
65 CHARLES SCHWAB INVESTMENT MANAGEMENT INC 135.1K +51.3K (+61.2%) 8.83M +4.0M (+83.6%) 0.30% +0.114 pp 0.00% +0.001 pp USD88.99 -26.5% 23 qtrs
66 SPX GESTAO DE RECURSOS LTDA 133.2K +133.2K (+100.0%) 8.70M +8.7M (+100.0%) 0.30% +0.299 pp 0.89% +0.889 pp USD65.37 +0.0% 1 qtrs NEW
67 ATOM INVESTORS LP 129.5K +124.0K (+2,254.7%) 8.47M +8.2M (+2,582.6%) 0.29% +0.279 pp 0.67% +0.649 pp USD65.03 +0.5% 2 qtrs
68 ENVESTNET ASSET MANAGEMENT INC 118.4K -24.5K (-17.2%) 7.74M -461.6K (-5.6%) 0.27% -0.057 pp 0.00% 0.000 pp USD184.63 -64.6% 34 qtrs
69 WALLEYE CAPITAL LLC 114.6K -147.0K (-56.2%) 7.49M -7.5M (-50.1%) 0.26% -0.333 pp 0.02% -0.033 pp USD73.06 -10.5% 3 qtrs
70 NORTHERN TRUST CORP 113.9K -18.6K (-14.0%) 7.45M -156.2K (-2.1%) 0.26% -0.043 pp 0.00% +0.000 pp USD122.55 -46.7% 45 qtrs
71 INVESCO LTD. 111.6K +40.2K (+56.2%) 7.29M +3.2M (+78.0%) 0.25% +0.090 pp 0.00% +0.001 pp USD89.57 -27.0% 40 qtrs
72 HSBC HOLDINGS PLC 110.2K -5.1K (-4.4%) 7.24M +543.9K (+8.1%) 0.25% -0.013 pp 0.00% +0.000 pp USD137.90 -52.6% 27 qtrs
73 BRIDGEWATER ASSOCIATES, LP 108.2K -3.9K (-3.5%) 7.08M +638.9K (+9.9%) 0.24% -0.010 pp 0.03% +0.001 pp USD57.38 +13.9% 2 qtrs
74 HARDING LOEVNER LP 105.3K -492.0K (-82.4%) 6.88M -27.4M (-79.9%) 0.24% -1.112 pp 0.06% -0.191 pp USD189.29 -65.5% 8 qtrs
75 TWO SIGMA ADVISERS, LP 104.6K -103.7K (-49.8%) 6.84M -5.1M (-42.8%) 0.24% -0.235 pp 0.01% -0.011 pp USD57.38 +13.9% 2 qtrs
76 BANCO BTG PACTUAL S.A. 103.9K +71.7K (+222.7%) 6.79M +4.9M (+267.6%) 0.23% +0.161 pp 1.16% +0.891 pp USD73.79 -11.4% 4 qtrs
77 JANUS HENDERSON GROUP PLC 99.3K +99.3K (+100.0%) 6.49M +6.5M (+100.0%) 0.22% +0.223 pp 0.00% +0.003 pp USD65.37 +0.0% 11 qtrs
78 M&G PLC 99.6K +99.6K (+100.0%) 6.47M +6.5M (+100.0%) 0.22% +0.224 pp 0.03% +0.033 pp USD65.37 +0.0% 1 qtrs NEW
79 RUSSELL INVESTMENTS GROUP, LTD. 92.0K +3.9K (+4.5%) 6.01M +960.1K (+19.0%) 0.21% +0.008 pp 0.01% +0.001 pp USD150.99 -56.7% 37 qtrs
80 POLEN CAPITAL MANAGEMENT LLC 90.5K -44.6K (-33.0%) 5.91M -1.8M (-23.7%) 0.20% -0.102 pp 0.03% +0.000 pp USD184.77 -64.6% 31 qtrs
81 EDGESTREAM PARTNERS, L.P. 89.5K +6.1K (+7.3%) 5.85M +1.1M (+22.3%) 0.20% +0.013 pp 0.16% +0.025 pp USD89.64 -27.1% 4 qtrs
82 NISHKAMA CAPITAL, LLC 89.1K +89.1K (+100.0%) 5.83M +5.8M (+100.0%) 0.20% +0.200 pp 0.23% +0.234 pp USD65.37 +0.0% 1 qtrs NEW
83 SORA INVESTORS LLC 85.7K +379.0 (+0.4%) 5.60M +706.6K (+14.4%) 0.19% +0.000 pp 0.48% +0.030 pp USD152.84 -57.2% 11 qtrs
84 NORGES BANK 85.7K +85.7K (+100.0%) 5.60M +5.6M (+100.0%) 0.19% +0.193 pp 0.00% +0.001 pp USD65.37 +0.0% 1 qtrs NEW
85 DISCIPLINED GROWTH INVESTORS INC /MN 84.1K +12.6K (+17.7%) 5.50M +1.4M (+34.1%) 0.19% +0.028 pp 0.11% +0.031 pp USD58.58 +11.6% 2 qtrs
86 COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLS RETRMT SYS 80.0K +26.4K (+49.2%) 5.23M +2.2M (+70.0%) 0.18% +0.059 pp 0.03% +0.011 pp USD106.77 -38.8% 30 qtrs
87 ACADIAN ASSET MANAGEMENT LLC 78.4K +20.0K (+34.2%) 5.12M +1.8M (+53.1%) 0.18% +0.044 pp 0.01% +0.003 pp USD59.42 +10.0% 2 qtrs
88 TD ASSET MANAGEMENT INC 78.3K +1.7K (+2.2%) 5.12M +720.9K (+16.4%) 0.18% +0.003 pp 0.00% +0.001 pp USD170.39 -61.6% 11 qtrs
89 CITIZENS FINANCIAL GROUP INC/RI 77.9K +77.9K (+100.0%) 5.10M +5.1M (+100.0%) 0.18% +0.175 pp 0.07% +0.068 pp USD65.37 +0.0% 1 qtrs NEW
90 CALIFORNIA PUBLIC EMPLOYEES RETIREMENT SYSTEM 73.6K +121.0 (+0.2%) 4.81M +595.4K (+14.1%) 0.17% -0.001 pp 0.00% +0.000 pp USD96.97 -32.6% 33 qtrs
91 JB CAPITAL LLC 70.4K +4.2K (+6.3%) 4.60M +802.9K (+21.1%) 0.16% +0.009 pp 0.19% +0.024 pp USD57.86 +13.0% 2 qtrs
92 S-BANK FUND MANAGEMENT LTD 69.0K +10.0K (+16.9%) 4.51M +1.1M (+33.2%) 0.16% +0.022 pp 0.58% +0.136 pp USD87.15 -25.0% 3 qtrs
93 TREXQUANT INVESTMENT LP 60.6K -125.8K (-67.5%) 3.96M -6.7M (-62.9%) 0.14% -0.285 pp 0.04% -0.075 pp USD57.38 +13.9% 2 qtrs
94 JANE STREET GROUP, LLC 58.4K +31.4K (+116.3%) 3.82M +2.3M (+146.4%) 0.13% +0.070 pp 0.00% +0.000 pp USD92.79 -29.6% 6 qtrs
Ownership breakdown by holder

ETF Ownership

Top ETFs holding this stock Held by 58 ETFs in our universe
# ETF Weight Est. AUM exposure TER
1 Tweedy, Browne International Insider + Value ETF ICPY 0.61% 424.2K 0.80%
2 VictoryShares Small Cap Free Cash Flow ETF SFLO 0.56% 3.55M 0.56%
3 Tweedy, Browne Insider + Value ETF COPY 0.41% 1.28M 0.89%
4 Amundi Global Gender Equality UCITS ETF Acc ELLE.L 0.31% 129.8K 0.20%
5 Harbor Human Capital Factor US Small Cap ETF HAPS 0.26% 441.4K 0.61%
6 Amplify Etho Climate Leadership U.S. ETF ETHO 0.19% 353.9K 0.45%
7 Global X - Artificial Intelligence & Technology ETF AIQ 0.11% 10.92M 0.68%
8 iShares Russell 2000 Value ETF IWN 0.08% 11.94M 0.24%
9 Schwab Fundamental U.S. Small Company Index ETF FNDA 0.08% 6.92M 0.25%
10 Innovator U.S. Small Cap Managed Floor ETF RFLR 0.07% 61.1K 0.89%

Insider Activity

Insider Activity — Latest Quarter
Ratio by transactions
0.00
Bearish
Buys
0
Sells
0
Shares acquired
Shares disposed
Cash buys
Cash sales
Net activity
+0
Insider buys vs sells (history) From To
Recent insider transactions From To
Date Person Role Transaction A/D Security Shares Price Value Owned after D/I Filing
2026-03-18 Weigert Wanda Officer Restricted Stock Units 9,000 0.00 0 D
2026-03-18 Urthiague Juan Ignacio Officer Restricted Stock Units 11,500 0.00 0 D
2026-03-18 Umaran Martin Gonzalo Director / Officer Restricted Stock Units 22,500 0.00 0 D
2026-03-18 Tartara Diego Officer Common Stock 0 0.00 78,320 D
2026-03-18 Rottenberg Linda Director Common Stock 0 0.00 9,799 D
2026-03-18 Rojo Patricio Pablo Officer Restricted Stock Units 6,000 0.00 0 D
2026-03-18 Pinelli Maria Director Common Stock 0 0.00 4,558 D
2026-03-18 Petroni Merhy Andrea Mayumi Director Common Stock 0 0.00 4,175 D
2026-03-18 Migoya Martin Director / Officer Restricted Stock Units 64,000 0.00 0 D
2026-03-18 McLaughlin Andrew John Director Common Stock 0 0.00 3,158 D
2026-03-18 Matzkin Fernando Officer Restricted Stock Units 14,000 0.00 0 D
2026-03-18 Englebienne Guibert Andres Director / Officer Common Stock 0 0.00 127,166 I
2026-03-18 Alvarez-Demalde Francisco Director Common Stock 0 0.00 19,738 D
2026-03-18 Aguzin Alejandro Nicolas Director Common Stock 0 0.00 23,158 D
2010-04-12 RUXIN MICHAEL I Officer D-Return D Employee Stock Option (right to buy) 500,000 0.58 290.0K 0
2010-04-12 HUNT T KENDALL Director D-Return D Employee Stock Option (right to buy) 34,246 0.73 25.0K 0
2010-03-25 RUXIN MICHAEL I Director / Officer U-Tender D Common Stock 1,150,579 1.22 1.40M 0
2010-03-25 LOPEZ ALICIA R Director 0 0.00 0
2010-03-25 LINDOP CHRISTOPHER J Director 0 0.00 0
2010-03-25 HUNT T KENDALL Director U-Tender D Common Stock 57,559 1.22 70.2K 0
2010-03-25 GILMORE ROBERT R Director U-Tender D Common Stock 27,559 1.22 33.6K 0
2010-03-25 CONCANNON BRIAN Director 0 0.00 0
2009-09-23 RUXIN MICHAEL I Director / Officer S-Sale D Common Stock 300,000 1.00 300.0K 858,508
2009-08-31 RUXIN MICHAEL I Director / Officer G-Gift D Common Stock 69,148 0.00 1,158,508
2009-05-26 HUNT T KENDALL Director A-Award A Non-Qualified Stock Option (right to buy) 46,667 0.75 35.0K 46,667
2009-05-26 GILMORE ROBERT R Director A-Award A Non-Qualified Stock Option (right to buy) 46,667 0.75 35.0K 46,667
2008-12-03 RUXIN MICHAEL I Director / Officer G-Gift D Common Stock 60,000 0.00 1,227,656
2008-08-21 RUXIN MICHAEL I Director / Officer M-Exempt A Common Stock 455,508 0.00 1,287,656
2008-08-14 HUNT T KENDALL Director P-Purchase A Common Stock 27,559 0.00 57,559
2008-08-14 GILMORE ROBERT R Director P-Purchase A Common Stock 27,559 0.00 27,559
2007-03-08 HUNT T KENDALL Director A-Award A Stock Option (Right to Buy) 34,246 0.73 25.0K 59,246
2007-03-08 GILMORE ROBERT R Director A-Award A Stock Option (Right to Buy) 41,095 0.73 30.0K 71,095
2006-08-22 RUXIN MICHAEL I Director / Officer G-Gift D Common Stock 50,000 0.00 195,319
2006-05-24 HUNT T KENDALL Director P-Purchase A Common Stock 10,500 7,980.00 83.79M 30,000
2006-05-16 HUNT T KENDALL Director P-Purchase A Common Stock 14,500 12,270.00 177.92M 19,500
2006-05-12 HUNT T KENDALL Director P-Purchase A Common Stock 2,500 0.85 2.1K 5,000
2006-05-10 HUNT T KENDALL Director P-Purchase A Common Stock 2,500 0.82 2.1K 2,500
2006-03-31 HUNT T KENDALL Director A-Award A Stock Option (Right to Buy) 25,000 1.00 25.0K 25,000
2006-03-31 GILMORE ROBERT R Director A-Award A Stock Option (Right to Buy) 30,000 1.00 30.0K 30,000
2005-12-16 RUXIN MICHAEL I Director / Officer A-Award A Employee Stock Option (Right to Buy) 250,000 1.15 287.5K 3,000,000
2005-12-16 GLOBAL MED INTERNATIONAL LTD 10% Owner S-Sale D Warrants 10,186,430 0.50 5.09M 0
2005-11-15 RUXIN MICHAEL I Director / Officer G-Gift D Common Stock 51,000 0.00 932,148
2005-10-04 RUXIN MICHAEL I Director / Officer P-Purchase A Common Stock 1,000 0.92 920.00 983,148
2005-10-03 RUXIN MICHAEL I Director / Officer P-Purchase A Common Stock 1,000 0.95 950.00 981,148
2005-03-22 CHAN FAI Director / 10% Owner S-Sale D Common Stock 9,429 1.75 16.5K 11,239,970
2005-03-18 CHAN FAI Director / 10% Owner S-Sale D Common Stock 8,571 1.99 17.1K 11,249,399
2005-03-17 CHAN FAI Director / 10% Owner S-Sale D Common Stock 6,571 2.08 13.6K 11,257,910
2005-03-16 CHAN FAI Director / 10% Owner S-Sale D Common Stock 6,857 2.00 13.7K 11,264,481
2005-03-15 CHAN FAI Director / 10% Owner S-Sale D Common Stock 4,000 2.11 8.4K 11,271,338
2005-03-14 CHAN FAI Director / 10% Owner S-Sale D Common Stock 4,857 2.26 11.0K 11,275,338
2005-03-11 CHAN FAI Director / 10% Owner S-Sale D Common Stock 7,143 2.29 16.3K 11,280,195
2005-03-10 CHAN FAI Director / 10% Owner S-Sale D Common Stock 6,000 2.28 13.7K 11,287,338
2005-03-09 CHAN FAI Director / 10% Owner S-Sale D Common Stock 6,000 2.22 13.3K 11,293,338
2005-03-08 CHAN FAI Director / 10% Owner S-Sale D Common Stock 6,286 2.28 14.4K 11,299,338
2005-03-07 CHAN FAI Director / 10% Owner S-Sale D Common Stock 4,571 2.35 10.7K 11,305,624
2005-02-14 CHAN FAI Director / 10% Owner C-Conversion D Options 100,000 0.75 75.0K 20,113,430
2005-01-25 RUXIN MICHAEL I Director / Officer G-Gift D Common Stock 95,238 0.00 980,148
2005-01-19 RUXIN MICHAEL I Director / Officer J-Other A Common Stock 675,386 0.00 1,075,386
2004-04-14 GLOBAL MED INTERNATIONAL LTD 10% Owner P-Purchase A Series AA Preferred Stock 3,500,000 0.45 1.58M 20,136,430
2003-11-11 ONLINE CREDIT LTD 10% Owner J-Other D Common Shares 3,050,000 0.00 11,210,195

Executive team

Top executives
EBIT / Employee
4.8K
Shares Outstanding
43.18M

Executive compensation

Executive compensation (annual)

Executive compensation not available.

CEO compensation breakdown

No CEO compensation history available.

Proxy statements

Proxy statements (DEF 14A)

No proxy statements available for this company yet.

Recent SEC filings

Recent SEC filings
Filing date Form type Filing
2026-05-14 SC 13G/A
2026-05-14 SC 13G/A
2026-05-14 6-K
2026-04-28 6-K
2026-04-23 S-8
2026-04-17 SC 13G
2026-03-27 6-K
2026-03-18 3
2026-03-18 3
2026-03-18 3

Executive team

NameTitleCompensationGender
Diego Tartara Chief Technology Officer male
Guibert Andres Englebienne Co-Founder, President of Globant X, Globant Ventures & Latin America and Director male
Juan Ignacio Urthiague Chief Financial Officer & Investor Relations Officer male
Martin Migoya Co-founder, Chairman, Chief Executive Officer & President male
Martín Gonzalo Umaran Co-Founder, Chief Corporate Development Officer, President of EMEA & Director male
Nestor Augusto Nocetti Co-Founder & Chief Corporate Affairs Officer male
Patricio Pablo Rojo General Counsel male
Sebastian Arriada Chief Information Officer male
Wanda Weigert Chief Marketing Officer female
Yanina Maria Conti Chief Accounting Officer female
ESG Rating
B+
INFORMATION TECHNOLOGY SERVICES
2026
E (Environmental)
99.0 / 65.1
Company / Sector avg.
S (Social)
73.5 / 65.3
Company / Sector avg.
G (Governance)
77.7 / 67.4
Company / Sector avg.
ESG Total
83.4 / 65.9
Company / Sector avg.
ESG Score History INFORMATION TECHNOLOGY SERVICES
Benchmark vs Sector
Political Trading Activity (25M)
Senate Trading Activity

No Senate trading activity found for this company.

House Trading Activity
Transaction Date Disclosed Representative District Owner Type Amount Link
2025-08-08 2026-01-13 Julia Letlow LA05 Sale (Full) $1,001 - $15,000
2025-07-25 2026-01-13 Julia Letlow LA05 Purchase $1,001 - $15,000
2025-02-28 2026-01-13 Julia Letlow LA05 Purchase $1,001 - $15,000
2022-07-19 2022-08-09 Ro Khanna CA17 Spouse Sale $1,001 - $15,000
2022-05-23 2022-06-10 Ro Khanna CA17 Spouse Purchase $1,001 - $15,000
2020-03-31 2020-04-16 Gilbert Cisneros CA31 -- Sale (Full) $1,001 - $15,000
2020-03-10 2020-04-16 Gilbert Cisneros CA31 -- Sale (Partial) $1,001 - $15,000
Market share among peers
Peer comparison — filtered group (TTM)
Your opinion

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