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RMNI

Rimini StreetA
Nasdaq / Software & Services
Last Price
At close
2026-07-17
View Chart
Current thesis
The constructive case is that Q1 showed better underlying demand than reported revenue alone: adjusted billings, adjusted ARR and RPO all grew faster than revenue, debt was reduced, and management on the earnings call highlighted 11 new client transactions over $1 million in TCV totaling $33 million versus 5 transactions totaling $5.6 million a year earlier. If Q2 confirms this is converting into revenue and margin stability, the stock could close some of the gap to the available median target.
Posture
Constructive
Lead driver
Value
What changed
Value remains the lead driver in the composite, 7D delta +0.2.
What can break
Coverage is thin and reliable post-print analyst revision data is limited, which raises uncertainty around how quickly new operating evidence will be reflected in consensus expectations.
Momentum
90
Value
69
Sentiment
72
Setup hits (3d)
0 · Net Neutral
AI TargetsBase $6.30 · Bull $7.20 · Bear $3.80
Data freshness
Prices
As of 2026-07-17
Fundamentals
As of 2026-07-17 • Vendor: Data Vendor v1
Scores
As of 2026-07-17 • Model: HYBRID_IC_RP
AI Memo
As of 2026-07-11 • Model: RankAlpha Sentiment Codex
Investment thesis
As of 2026-07-17
Supporting evidence
What
Grade A · Constructive
Confidence Medium · Net Neutral
Target $6.30
Why
Momentum90 · Δ7d +12.2
Value69 · Δ7d +0.2
Sentiment72 · Δ7d +9.9
So what
Strength-led posture (Net Neutral). Favor watchlist adds and disciplined entries.
Lead driver: Value · See fundamentals
Momentum
90
26% active weight
Current posture
7d trendImproving
Δ7d
+12.2
Δ21d
+13.2
Value
69
39% active weight
Current posture
7d trendFlat
Δ7d
+0.2
Δ21d
-0.0
Sentiment
72
34% active weight
Current posture
7d trendImproving
Δ7d
+9.9
Δ21d
+5.3
Why this grade

Composite grade A. Momentum 89.5 / Value 69.0 / Sentiment 71.5

Fundamentals (TTM)
As of 2026-07-17
Market Cap
$429.48M
Beta
1.32
Shares Out
92.56M
P/E (TTM)
8.4
P/S (TTM)
0.83
P/FCF (TTM) · Derived
9.42
Rev YoY
+1.2%
EPS YoY
-59.6%
Gross Margin
+59.9%
Op Margin
+16.4%
Net Debt
-$29.3M
Current Ratio
0.79
As of 2026-07-17 • Updated nightlySource: Internal modelMethodology