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TRADFI MARKET

Strategy Inc

MSTR · NasdaqGS

Perp price$96.7000
24h change+3.08%

trade.xyz perp price (HIP-3, Hyperliquid), not the security's own quote. Updated 2026-08-18 09:05:02 UTC.

Key figures

Market capitalization$37.3B
Forward P/E3.0
52-week range$81.81 – $399.44
Beta3.55
Average volume, shares20,190,390

Profile

SectorTechnology
CountryUnited States
Employees1,539

Leadership

Description

Strategy Inc, together with its subsidiaries, operates as a bitcoin treasury company in the United States, Europe, the Middle East, Africa, and internationally. It offers investors varying degrees of economic exposure to Bitcoin by offering a range of securities, including equity and fixed income instruments. The company also provides AI-powered enterprise analytics software, including Strategy One, which provides non-technical users with the ability to directly access novel and actionable insights for decision-making. In addition, the company provides Strategy Mosaic, a universal intelligence layer that offers enterprises with consistent definitions and governance across data sources, regardless of where that data resides or which tools access it. The company was formerly known as MicroStrategy Incorporated and changed its name to Strategy Inc in August 2025. The company was incorporated in 1989 and is headquartered in Tysons Corner, Virginia.

Issuer profile: yahoo finance (yfinance). Board price: TradFi screener. Market cap, P/E and the 52-week range: stockanalysis.com, re-read daily.

Issuer financials

What the company reports, next to what the desk trades. Statements come from Yahoo Finance and are printed in the currency the issuer reports in.

Statements are in USD, the currency this issuer reports in. The perp price at the top of this page is a USDC quote on trade.xyz: the same unit, a different thing.

From revenue to profit

The income statement for the latest quarterly period, ending 2026-06-30. This is not a split by product or by region: the source publishes no segment or geography breakdown, and neither does this page.

Revenue$122.4MCost of revenue$40.8MGross profit$81.5MR&D$23.1MSelling and admin$74.0MOperating income−$15.6MNet income−$8.2B
Period endingRevenueCost of revenueGross profitR&DSelling and adminOperating incomeNet income
2026-06-30$122.4M$40.8M$81.5M$23.1M$74.0M−$15.6M−$8.2B
2026-03-31$124.3M$40.9M$83.4M$24.7M$73.6M−$14.9M−$12.5B
2025-12-31$123.0M$41.7M$81.3M$22.8M$68.5M−$10.0M−$12.4B
2025-09-30$128.7M$38.0M$90.7M$22.6M$68.1M−$5.0K$2.8B
2025-06-30$114.5M$35.8M$78.7M$24.1M$70.2M−$15.5M$10.0B

Balance sheet

Assets, liabilities and equity at the end of each period. Click a name in the legend to drop that line.

$20B$40B$60B2025-062025-092025-122026-032026-06
Period endingAssetsLiabilitiesEquity
2026-06-30$52.6B$7.2B$45.3B
2026-03-31$54.3B$8.6B$45.6B
2025-12-31$61.6B$10.6B$51.0B
2025-09-30$73.6B$15.5B$58.1B
2025-06-30$64.8B$14.4B$50.4B

Cash flow

Cash the business produced and where it went. Capital spending is negative because it leaves.

−$5.0B$0.02025-062025-092025-122026-032026-06
Period endingOperatingFreeCapital spendingNet change in cash
2026-06-30−$4.1M−$6.4B−$6.4B−$495.0M
2026-03-31$14.0M−$7.2B−$7.3B−$91.7M
2025-12-31−$21.6M−$3.1B−$3.1B$2.3B
2025-09-30−$8.3M−$5.0B−$5.0B$4.2M
2025-06-30−$34.9M−$6.8B−$6.8B−$12.1M

Margins

Margin per period is computed here from two published lines: gross profit over revenue, operating income over revenue, net income over revenue. The source publishes only trailing twelve-month ratios, which are in the table below. A period with no revenue gets no point.

−10,000%0.0%10,000%2025-062025-092025-122026-032026-06
Period endingGross marginOperating marginNet margin
2026-06-3066.6%−12.7%−6,717.1%
2026-03-3167.1%−12.0%−10,090.6%
2025-12-3166.1%−8.1%−10,112.1%
2025-09-3070.5%−0.0%2,164.1%
2025-06-3068.8%−13.6%8,752.7%

Trailing ratios

Trailing twelve months, as the source states them. Not per period and not comparable with the chart above.

MeasureValue
Gross margin67.60%
Operating margin−6,808.11%
EBITDA margin0.00%
Net margin0.00%
Return on assets−38.73%
Return on equity−63.56%
Revenue growth6.90%
Debt to equity14.94%
Current ratio5.39
Quick ratio5.22
Cash$2.4B
Debt$6.8B
Revenue$498.3M
EBITDA−$36.4B
Operating cash flow−$20.1M
Free cash flow−$22.6B

Analyst recommendations

Counts as the source publishes them, for the month shown. Ratings are the analysts' own, not the desk's, and the desk does not weight them.

Consensusstrong buy
Average score1.27
Analysts polled15

Average score is the source's own scale: 1 is strong buy, 5 is strong sell.

MonthStrong buyBuyHoldSellStrong sellTotal
this month21210015
1 month ago21210015
2 months ago11210014
3 months ago21210015

Analyst price targets

Where the analysts polled above see the price of the security going. Their numbers, not the desk's, and the desk neither weights them nor trades them.

MeasureAs published
Average$229.07
Median$193.00
Lowest$125.00
Highest$450.00

Targets are in USD, the currency the security is quoted in. That is the source's own answer, not a guess from the ticker's country: the price the source prints beside the targets matches the quote, and that is what fixes their base. Targets and the perp price are both in dollars, so there is nothing to convert.

Next earnings

MeasureValue
Date2026-10-29
EPS estimate$12.63
EPS range$12.63 … $12.63
Revenue estimate$129.1M

The date is the source's estimate, not a date the company confirmed. Date read from yahoo finance (cli). The two transports disagree by a day on purpose: one answers in exchange-local time, the other in UTC, so the date and its flag always travel together from the same answer.

Statements read 2026-08-13. Source: yahoo finance (yfinance).

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