Top line stable.
+13.9% YoY versus +14.7% prior. 3y CAGR +18.3%.
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Technology · Market Cap: $1.6B
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Fundamentals as of 2026-03-31
All analysis on this page is for educational purposes only and does not constitute financial advice. Fair values are model-based estimates. Always do your own research.
The Question
Bottom line: DV currently has no legendary investor models qualifying — see /stock/DV/valuation for the per-model breakdown, but earns a B sector grade (61/100) in Technology. Use the per-tab analysis to form your own view. Drill into the valuation breakdown and sector ranking for the full picture.
Concerns — DoubleVerify Holdings, Inc.'s 5.1% ROE is below sector median.
Financial story
Concerns — DoubleVerify Holdings, Inc.'s 5.1% ROE and 0.18 debt-to-equity warrant a closer look at the underlying business.
+13.9% YoY versus +14.7% prior. 3y CAGR +18.3%.
+13.9%Net margin 6.8% versus 8.6% prior (−1.8pp). Operating 10.6%.
6.8%P/E 30.9x — 43% below the 5y median of 54.1x. Forward 20.8x hints at EPS expansion next year.
30.9xDV's earnings calendar and history are tracked in the financials tab. Specific dates depend on company-published guidance.
DV is in the Technology sector. Sector ranking and peer comparison are in the sector tab.
0 of 6 legendary investor models rate DV a BUY. Fair value estimates and full investor breakdown are in the valuation tab.
DoubleVerify Holdings, Inc.'s fair value depends on which model you trust. See the per-investor fair-value table in the valuation tab.
DV trades at 33.4x earnings. Sector context and per-investor signals are in the valuation tab.
DV and CLVT differ on P/E, ROE, and revenue growth. See the full DV vs CLVT compare matrix.
See exactly where DV ranks
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Sign in to see the rankingDV sits at #23 in Technology with a B grade (61/100).
How does DV compare?