Business Description
ISIN : IL0011858912
Share Class Description:
PGY: Class ATotal Employee Number:
493Financial Strength
| Name | Current | Vs Industry | Vs History | |||
|---|---|---|---|---|---|---|
Cash-To-Debt | 1.42 | |||||
Equity-to-Asset | 0.35 | |||||
Debt-to-Equity | 1.53 | |||||
Debt-to-EBITDA | 2.99 | |||||
Interest Coverage | N/A |
N/A
|
N/A
| |||
Piotroski F-Score | 6/9 | |||||
Altman Z-Score | 2.43 | |||||
Beneish M-Score | -2.07 | |||||
WACC vs ROIC | ||||||
Growth Rank
| Name | Current | Vs Industry | Vs History | |||
|---|---|---|---|---|---|---|
3-Year Revenue Growth Rate | -5.4 | |||||
3-Year Book Growth Rate | -15.6 | |||||
Future 3-5Y EPS without NRI Growth Rate Estimate Industry Rank | 50.61 | |||||
Future 3-5Y Total Revenue Growth Rate Estimate | 16 |
Momentum Rank
| Name | Current | Vs Industry | Vs History | |||
|---|---|---|---|---|---|---|
5-Day RSI | 74.72 | |||||
9-Day RSI | 67.53 | |||||
14-Day RSI | 64.83 | |||||
3-1 Month Momentum % | 18.67 | |||||
6-1 Month Momentum % | 28.04 | |||||
12-1 Month Momentum % | -53.92 |
Liquidity Ratio
| Name | Current | Vs Industry | Vs History | |||
|---|---|---|---|---|---|---|
Current Ratio | 11.51 | |||||
Quick Ratio | 11.51 | |||||
Cash Ratio | 9.31 | |||||
Days Sales Outstanding | 43.57 | |||||
Days Payable | 2.42 |
Dividend & Buy Back
| Name | Current | Vs Industry | Vs History | |||
|---|---|---|---|---|---|---|
3-Year Average Share Buyback Ratio | -12.9 | |||||
Shareholder Yield % | -9.18 |
Profitability Rank
| Name | Current | Vs Industry | Vs History | |||
|---|---|---|---|---|---|---|
Gross Margin % | 40.64 | |||||
Operating Margin % | 21.2 | |||||
Net Margin % | 9.57 | |||||
EBITDA Margin % | 22.9 | |||||
FCF Margin % | 18.99 | |||||
OCF Margin % | 19.97 | |||||
ROE % | 26.32 | |||||
ROA % | 8.19 | |||||
ROIC % | 42.24 | |||||
3-Year ROIIC % | -119.12 | |||||
ROC (Joel Greenblatt) % | 154.15 | |||||
ROCE % | 20.47 | |||||
Years of Profitability over Past 10-Year | 2 | |||||
Moat Score | 3 | |||||
Tariff Resilience Score | 8 |
GF Value Rank
| Name | Current | Vs Industry | Vs History | |||
|---|---|---|---|---|---|---|
PE Ratio | 16.98 | |||||
Forward PE Ratio | 13.68 | |||||
PE Ratio without NRI | 8.23 | |||||
Price-to-Owner-Earnings | 78.59 | |||||
PS Ratio | 1.67 | |||||
PB Ratio | 3.26 | |||||
Price-to-Tangible-Book | 3.42 | |||||
Price-to-Free-Cash-Flow | 8.57 | |||||
Price-to-Operating-Cash-Flow | 8.2 | |||||
EV-to-EBIT | 5.74 | |||||
EV-to-Forward-EBIT | 1.82 | |||||
EV-to-EBITDA | 5.31 | |||||
EV-to-Forward-EBITDA | 1.63 | |||||
EV-to-Revenue | 1.22 | |||||
EV-to-Forward-Revenue | 1.01 | |||||
EV-to-FCF | 6.41 | |||||
Price-to-GF-Value | 1.51 | |||||
Price-to-Graham-Number | 1.12 | |||||
| Price-to-Net-Current-Asset-Value | 3.92 | |||||
| Price-to-Net-Cash | 10.2 | |||||
Earnings Yield (Greenblatt) % | 17.42 | |||||
FCF Yield % | 12.98 |
Operating Revenue by Business Segment
Operating Revenue by Geographic Region
Historical Operating Revenue by Business Segment
Historical Operating Revenue by Geographic Region
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Performance
Annualized Return % Â
Total Annual Return % Â
Pagaya Technologies Ltd Executives
DetailsAnalyst Estimate
Key Statistics
| Name | Value | ||
|---|---|---|---|
| Revenue (TTM) (Mil $) | 1,325.553 | ||
| EPS (TTM) ($) | 1.37 | ||
| Beta | 2.3689 | ||
| 3-Year Sharpe Ratio | 0.11 | ||
| 3-Year Sortino Ratio | 0.17 | ||
| Volatility % | 66.28 | ||
| 14-Day RSI | 64.83 | ||
| 14-Day ATR ($) | 1.182651 | ||
| 20-Day SMA ($) | 21.09078 | ||
| 12-1 Month Momentum % | -53.92 | ||
| 52-Week Range ($) | 10.4 - 44.99 | ||
| Shares Outstanding (Mil) | 83.43 |
Piotroski F-Score Details
| Component | Result | ||
|---|---|---|---|
| Piotroski F-Score | 6 | ||
| Positive ROA | |||
| Positive CFROA | |||
| Higher ROA yoy | |||
| CFROA > ROA | |||
| Lower Leverage yoy | |||
| Higher Current Ratio yoy | |||
| Less Shares Outstanding yoy | |||
| Higher Gross Margin yoy | |||
| Higher Asset Turnover yoy |
Pagaya Technologies Ltd Filings
| Filing Date | Document Date | Form | ||
|---|---|---|---|---|
| No Filing Data | ||||
Pagaya Technologies Ltd Stock Events
| Event | Date | Price ($) | ||
|---|---|---|---|---|
| Fourth quarter earnings conference call for 2026 | 2027-02-09 08:30 | In 167 days | ||
| Fourth quarter earnings results for 2026 | 2027-02-09 | In 166 days | ||
| Third quarter earnings conference call for 2026 | 2026-11-10 08:30 | In 76 days | ||
| Third quarter earnings results for 2026 | 2026-11-10 | In 75 days | ||
| General meeting for 2026 | 2026-08-17 10:00 | 21.56 (+0.00%) | ||
| CG 46th Annual Growth Conference | 2026-08-11 16:30 | 21.60 (+1.46%) | ||
| Second quarter earnings conference call for 2026 | 2026-07-30 08:30 | 16.19 (-1.04%) | ||
| Second quarter earnings results for 2026 | 2026-07-30 | 16.19 (-1.04%) | ||
| Mizuho Technology Conference | 2026-06-10 10:30 | 14.80 (-3.14%) | ||
| Morgan Stanley US Financials Conference | 2026-06-09 16:00 | 15.28 (+3.95%) |
Pagaya Technologies Ltd Frequently Asked Questions
Guru Commentaries on NAS:PGY
Pagaya has made a business of lending to borrowers that other platforms have rejected, but this raises concerns. Their average debt-to-income for borrowers has moved from 22% to 29% in three years, indicating a deterioration in credit quality. While they tout improved AI models and internal credit risk scores, the explosive growth in their annual volume from $1.6 billion in 2020 to over $10 billion in 2025 may not be sustainable. Additionally, the surge in fraud, particularly through 'credit washing,' poses significant risks to their loan performance. The market's appetite for such loans could wane if consumer troubles arise.
Pagaya emerged as a potential fit for our fixed income portfolios for several reasons. Over time, the company has demonstrated, with scale, that its business model is both profitable and sustainable. Its track record shows an ability to carefully and competently underwrite consumer credit, as reflected in strong performance metrics. This competitive advantage positions the company to scale efficiently and effectively. Pagaya securitizes many of its loans, meaning it is frequently active in the ABS market, which provides opportunities for investment and supports good liquidity in these securities.
In Q3, we added to our position in Pagaya Technologies, recognizing its strong growth prospects within the technology sector. The company is positioned well in the AI infrastructure space, which we believe is critical for future advancements. Our investment thesis is supported by the overall positive momentum in technology, particularly in areas that leverage AI capabilities, which Pagaya is well-equipped to capitalize on. We see Pagaya as a high-quality company with specific growth drivers that align with our strategy.
The portfolio added a position in Pagaya Technologies during Q3, reflecting a strategy focused on investing in high-quality companies with company-specific growth drivers. The manager emphasizes a diversified approach within the technology sector, which includes holdings in software, semiconductors, AI infrastructure, and services companies, each with strong growth prospects.
