Affirm Holdings Inc (NASDAQ: AFRM) Forecasts And Short-Term Estimates

In the latest trading session,, 1.68 million Affirm Holdings Inc (NASDAQ:AFRM) shares changed hands as the company’s beta touched 3.56. With the company’s most recent per share price at $51.26 changed hands at -$1.31 or -2.50% at last look, the market valuation stands at $16.53B. AFRM’s current price is a discount, trading about -61.0% off its 52-week high of $82.53. The share price had its 52-week low at $22.25, which suggests the last value was 56.59% up since then.

Analysts gave the Affirm Holdings Inc (AFRM) stock a consensus recommendation rating of Hold, calculated at a mean rating of 1.64. If we narrow down to specifics, the data shows that 4 out of 16 analysts rate the stock as a Sell, with a further 0 assigning it an Overweight rating. Of the remaining, 7 recommended AFRM as a Hold, 5 felt it is a Buy and 0 rated the stock as Underweight.

Affirm Holdings Inc (NASDAQ:AFRM) trade information

Instantly AFRM was in red as seen in intraday trades today. With action -4.62%, the performance over the past five days has been red. The company’s shares are showing year-to-date downside of -15.84%, with the 5-day performance at -4.62% in the red. However, in the 30-day time frame, Affirm Holdings Inc (NASDAQ:AFRM) is 21.75% up.

The consensus price target for the stock as assigned by Wall Street analysts is 75, meaning bulls need an upside of 31.65% from its recent market value. According to analyst projections, AFRM’s forecast low is 67 with 82 as the target high. To hit the forecast high, the stock’s price needs a -59.97% plunge from its current level, while the stock would need to soar -30.71% for it to hit the projected low.

Looking at the company’s year-on-year earnings, data shows that the past 5-year has an earnings growth rate of -26.16%. The 2025 estimates are for Affirm Holdings Inc earnings to increase by 103.39%.

AFRM Dividends

Affirm Holdings Inc is expected to release its next quarterly earnings report in June.

CAPITAL RESEARCH GLOBAL INVESTORS holds the second largest percentage of outstanding shares, with 7.5311% or 23.76 million shares worth $717.77 million as of 2024-06-30.

Among Mutual Funds, the top two as of Mar 31, 2025 were GROWTH FUND OF AMERICA and VANGUARD INDEX FUNDS-Vanguard Total Stock Market Index Fund . With 22.56 shares estimated at $1.16 billion under it, the former controlled 8.01% of total outstanding shares. On the other hand, VANGUARD INDEX FUNDS-Vanguard Total Stock Market Index Fund held about 2.57% of the shares, roughly 7.25 shares worth around $372.44 million.

Marketing Sentinel
Privacy Overview

This website uses cookies so that we can provide you with the best user experience possible. Cookie information is stored in your browser and performs functions such as recognising you when you return to our website and helping our team to understand which sections of the website you find most interesting and useful.