CRM - Salesforce Inc
The pioneer of cloud-based CRM software, now broadening its platform with AI agents (Agentforce) to automate sales, service, and marketing workflows.
Finlify Score
33.8 / 100
Data Quality
FULL
Penalty
0.0
Sector
Information Technology
Close Price
$164.55
-0.81%
52W Range
$161.40 - $276.80
Market Cap
$156.3B
-0.8%Compared to previous day
2026 Q2 Revenue
$11.1B
-18.3%Changes from last reporting quarter
2026 Q2 EPS
$2.00
Diluted shares
Analyst Rating
58 analysts in latest ratings feed
RSI
41.1
40-70 moderate
2Y Range Position
2%
-55.4% from high / +2.0% from low
Beta
1.18
Relative to market benchmark
MACD
-2.74
MACD line -3.16 / signal line -0.42
Fundamental Trend
Growth 28.0Financial Health
Quality 61.7Data Quality
FULLValuation Reference
Price Chart
Close price, two-year source window
Finlify Score
AVOID33.8 / 100
Score History
Finlify Score and component trend
Financial Statements
Calendar year view. Figures are estimates only. For official figures, refer to the company website.
| 2026 Q2 | 2026 Q1 | 2025 Q4 | 2025 Q3 | |
|---|---|---|---|---|
| Revenue | $11.1B | $13.6B | $10.3B+0.2% | $10.2B+4.1% |
| Gross Profit | $8.6B | $10.8B | $8.0B+0.1% | $8.0B+5.7% |
| Operating Income | $2.3B | $2.9B | $2.2B-6.2% | $2.3B+20.1% |
| Net Income | $2.1B | $3.0B | $2.1B+10.5% | $1.9B+22.5% |
Columns use the calendar quarter of each reported period end date. QoQ is shown for adjacent company reporting quarters only.
AI Signal
Generated Jun 16, 2026
The Finlify signal for CRM (Salesforce Inc) on 2026-06-12 is AVOID, with a Finlify Score of 35.9/100, suggesting a generally unfavorable outlook based on its quantitative factors.
Technical
The low Relative Strength score of 11.1/100 indicates that CRM may be underperforming its peers. Recent price action shows a 60-day return of -14.6% and the stock is currently -37.7% from its 52-week high, which could suggest a bearish trend. The RSI(14) at 38.6 appears to be approaching oversold territory, while Accumulation/Volume is moderate at 64.2/100.
Fundamentals
The Fundamental Trend score of 28.0/100 appears relatively weak, despite a moderate Financial Quality score of 61.7/100. Valuation multiples such as a P/E of 18.1x, P/B of 3.3x, and P/S of 3.2x provide context for its current pricing. CRM also offers a dividend yield of 1.06% and has a Beta of 1.2, indicating higher volatility relative to the market.
Macro Context
The current macro environment, with a 10-year Treasury yield at 4.5% and a positive yield spread of 0.4%, suggests a potentially less accommodative interest rate environment. Inflation metrics like CPI YoY at 4.3% and Core PCE YoY at 3.3% remain elevated, which could influence growth stock valuations like CRM.
Key Risks
- The low Relative Strength score of 11.1/100 and a 60-day return of -14.6% suggest potential underperformance.
- A weak Fundamental Trend score of 28.0/100 may indicate underlying business challenges or deteriorating financial prospects.
- Elevated inflation (CPI YoY 4.3%) and higher interest rates (10Y Treasury Yield 4.5%) could pressure valuations for growth-oriented technology stocks.