Stocks股票 / Tech / CRM

Salesforce · Tech

CRM US listed · USD美股 · 美元

Salesforce, Inc., is an American cloud-based software company headquartered in San Francisco, California. It is primarily known for its customer relationship management software and related applications which it delivers through a software as a service subscription business model.Salesforce, Inc. 是一家美国云软件公司,总部位于加利福尼亚州旧金山。它主要以其客户关系管理软件及相关应用闻名,通过软件即服务订阅模式交付。

Large cap大盘 · $161B Quality compounder优质复利股 Tech Dow 30道琼斯30S&P 500标普500
$173.79
+$3.02 · +1.77%
52w low52周低 $146high $271
Neutral — no clear edge中性 — 无明显优势 Confirmed cycle low — the entry window is open now, with a clear exit if it closes back below 150.12.周期低点已确认——入场窗口现已开启,若收盘重新跌破 150.12 则明确离场。 Engine read引擎解读 · 2026-07-21

Price chart价格图表

daily · interactive日线 · 可交互 Open in Terminal打开终端
Loading chart…图表加载中…
The interactive chart could not load here.互动图表暂时无法在此加载。 Open the live chart in Terminal在终端中打开实时图表
Candles, volume and moving averages — pan and zoom inside the chart.蜡烛图、成交量与均线 — 图内可缩放拖动。 MMastermind Terminal — live & interactiveMastermind 终端 — 实时互动

Technicals技术面

daily bars日线数据 · 2026-07-21
Momentum (RSI 14)动量(RSI 14) 57
Neutral zone中性区域
vs 50-day average相对50日均线 +1.5% above上方 Uptrend intact趋势完好
vs 200-day average相对200日均线 -16.3% below下方 Long trend down长期向下
Volatility波动率 51th percentile第51百分位
These readings feed the stance at the top — one source per number, refreshed nightly.以上读数构成页首的引擎立场 — 每个数字只有一个来源,每晚更新。

Earnings财务业绩

Estimates being raised — 41 analysts预期上调 — 41 位分析师

Post-earnings drift: -12.1% (20d)财报后漂移:-12.1%(20日)

Valuation估值

Looks cheap vs sector相对行业偏便宜
Multiple指标CRM Sector median行业中位Cheaper than相对便宜
P/E (trailing)市盈率(历史) 21.65x 40.25 75%
P/B市净率 2.73x 5.91 75%
P/S市销率 3.89x 4.85 56%
Earnings yield盈利收益率 4.62% 2.18 79%
FCF yield自由现金流收益率 8.92% 3.07 88%
Shareholder yield股东收益率 7.80% 2.14 87%
EV/EBITDA企业价值/EBITDA 17.69x 28.83 68%
P/FCF市值/自由现金流 11.21x 29.15 86%
"Cheaper than" = share of sector peers trading richer on that multiple.「相对便宜」= 行业中该指标估值更高的同行占比。

Financials财务数据

fiscal years财年
Revenue营业收入
$21.3B2020
$21.3B2021
$26.5B2022
$31.4B2023
$34.9B2024
$41.5B2025
5-yr growth5年复合增速 14.3%
Earnings per share每股收益
$4.382020
$4.382021
$1.482022
$0.212023
$4.202024
$7.802025
5-yr growth5年复合增速 12.2%
Free cash flow自由现金流
$4.1B2020
$4.1B2021
$5.3B2022
$6.3B2023
$9.5B2024
$14.4B2025
Gross margin毛利率
77.7%
Operating margin营业利润率
20.1%
Net margin净利率
18.0%
FCF margin自由现金流利润率
36.1%
Balance-sheet quality财务体质 7/9 Bankruptcy risk: grey zone破产风险:灰色区 Return on equity股本回报率 13% Clean稳健

Leverage杠杆

Net debt / EBITDA净债务/EBITDA0.75
Current ratio流动比率0.76

Capital allocation资本配置

Buybacks (TTM)回购(TTM)$12.6B
Stock-based comp股权薪酬$3.5B
Share count change (1y)股数变化(1年)-3.4%

Why is it moving为何波动

6 checks · nightly六项检查 · 每晚
Sector / Theme行业/主题 AI Software & Platforms theme — #11 of 46 themes「AI 软件与平台」主题 — 46 个主题中第 11 位
Macro宏观 Rate risk runs through its market / growth beta, not a distinct duration leg.其利率风险通过市场/成长beta体现,并无独立的久期暴露。
Positioning持仓 Short interest changed -14.3%空头仓位变动 -14.3%
Technical技术面 BUY ZONE → NEARING A HIGH买入区 → 接近高点

Options positioning期权持仓

as of last close截至上一收盘

Market makers are net long gamma — price pinned near current level做市商净持有正伽玛,价格倾向于在当前水平附近震荡

Expected daily move预期日波动
±2.95%
Expected weekly move预期周波动
±6.61%
Gamma flip伽玛翻转位
$166
25d risk reversal25d风险逆转
0.1%

Flow:资金流向: $20M premium traded; 53% 0DTE; 36 fresh positions; P/C 0.45; ~leans bearish (direction approx)成交权利金 $20M;0DTE占53%;36个新建仓;看跌看涨比 0.45;≈偏看跌/对冲(方向近似)

Skew: balanced偏斜:balanced
Call and put walls are plotted on the Trade levels ladder →看涨/看跌期权墙已标注在「交易点位」阶梯上 →

Ownership & smart money持仓与聪明钱

13F

Insider activity:内部人动向: -$19.4M net (3 buyers, 3 sellers)-$19.4M 净值(3 买家,3 卖家)

Concentrated ownership集中持仓

Fund基金Grade评级 Latest move最新动作% of book组合占比As of截至
Akre Capital Management C New position新建仓 2.5% 2026-03-31
AKO Capital B Adding加仓 1.3% 2026-03-31
ValueAct Capital A Holding持有 9.8% 2026-03-31
Corvex Management A Holding持有 0.1% 2026-03-31
Soros Fund Management B trimtrim 0.9% 2026-03-31
Polen Capital Management B trimtrim 0.0% 2026-03-31
Starboard Value B exitexit 0.0% 2026-03-31

Signal history信号历史

engine events引擎事件
NEARING A HIGH → BUY ZONE接近高点 → 买入区 BUY. A new cycle low likely formed 19 day(s) ago (2026-06-22 @ 150.12): swing low in, price back above the 10-day average — and the weekly timeframe agrees买入。新的周期低点可能已在 19 天前形成 (2026-06-22 @ 150.12):摆动低点已现,价格重新站上 10 日均线——且周线周期也一致确认
Jul 17, 2026
BUY ZONE → NEARING A HIGH买入区 → 接近高点
TAKE PROFITS止盈
Jul 15, 2026
UPTREND → BUY ZONE上涨趋势 → 买入区
BUY买入
Jul 10, 2026
BOTTOMING → UPTREND筑底中 → 上涨趋势
HOLD持有
Jul 10, 2026
CRM weekly MACD crossed upCRM 周线MACD上穿
The weekly MACD histogram turned positive — the slower, less-whippy momentum read.周线MACD柱状图转正 — 更慢、更少来回的动量信号。
Jul 8, 2026
BUY ZONE → BOTTOMING买入区 → 筑底中
BUY SETUP买入预备
Jul 7, 2026
BOTTOMING → BUY ZONE筑底中 → 买入区
BUY买入
Jul 6, 2026
UNCONFIRMED TURN → BOTTOMING未确认转向 → 筑底中
BUY SETUP买入预备
Jul 1, 2026
CRM daily MACD crossed upCRM 日线MACD上穿
The daily MACD histogram turned positive — fast and noisy, context rather than a standalone trigger. $163.23.日线MACD柱状图转正 — 快速且嘈杂,仅作背景。$163.23。
Showing the last 15 of显示最近15条,共 103 signals条信号

Company profile公司档案

Salesforce, Inc., is an American cloud-based software company headquartered in San Francisco, California. It is primarily known for its customer relationship management software and related applications which it delivers through a software as a service subscription business model.Salesforce, Inc. 是一家美国云软件公司,总部位于加利福尼亚州旧金山。它主要以其客户关系管理软件及相关应用闻名,通过软件即服务订阅模式交付。

Demand chain:需求链: Contracted bookings (RPO) accelerating (+27% YoY to ~$72B, 1.7× revenue) — signed demand locked in ahead of recognition已签约订单(RPO)加速(同比+27%,约 $72B,覆盖营收 1.7 倍)——已锁定、尚未确认的需求

Style DNA — how it trades vs the market风格基因 — 相对市场的交易特征
Value价值
Below market低于市场
Profitability盈利能力
Below market低于市场
Quality质量
Above market高于市场
Investment资本投入
Below market低于市场
Shareholder payout股东回报
Above market高于市场
Low volatility低波动
Below market低于市场
Low market beta低市场敏感度
Above market高于市场
Earnings quality盈利质量
Below market低于市场
Short interest空头兴趣
Below market低于市场

The whole US universe — S&P 1500 and Russell 2000 — read nightly.覆盖标普1500与罗素2000全部成分股 — 每晚更新解读。

Signals, options positioning, smart-money moves and factor DNA — the same engine that wrote this page covers 2,700+ US stocks.信号、期权持仓、聪明钱动向与因子基因 — 撰写本页的引擎覆盖2700多只美股。

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Research context only — not investment advice. Past patterns do not guarantee future results.仅供研究参考,不构成投资建议。历史规律不代表未来表现。

Data through数据截至 2026-07-21 · regenerated nightly每晚更新 · Generated生成于 2026-07-21 02:08 UTC · All coverage所有股票 · Analyzer分析器