Bentley Systems, Inc., along with its affiliated companies, delivers specialized software solutions for infrastructure engineering across a global footprint, encompassing the Americas, Europe, the Middle East, Africa, and the Asia-Pacific regions. Its offerings encompass open modeling and simulation software for integrated infrastructure design, featuring tools such as MicroStation, OpenRoads, OpenRail, OpenPlant, OpenBuildings, OpenBridge, OpenSite, OpenFlows, STAAD and RAM, SACS, MOSES, AutoPIPE, SITEOPS, CUBE, DYNAMEQ, EMME, and LEGION.
Current Price
$31.67
Market Cap
$16.2B
Quality Assessment
Bentley Systems, Incorporated is a high-quality technology company with a Compass Score of 89. Profitability, cash flow, and price stability all score well here. The kind of stock long-term investors tend to hold for quality.
Score Breakdown
The Compass Score is based on 6 quality factors identified by academic research.
Bentley Systems, Incorporated's Value:๐
Universe Average:2%
Measures net income divided by total assets. Higher ROA indicates better efficiency at converting assets into profit.
Bentley Systems, Incorporated's Value:๐
Universe Average:25%
Gross profit divided by total assets. Companies with higher gross profitability tend to outperform.
Bentley Systems, Incorporated's Value:๐
Universe Average:3%
Free cash flow divided by total assets. Money available to return to shareholders.
Operating cash flow divided by total assets. Real cash generation, not accounting earnings.
Bentley Systems, Incorporated's Value:๐
Universe Average:10%
Year-over-year asset growth. Companies that grow conservatively tend to outperform aggressive expanders.
Note: For this factor, lower values are better.
Click any factor to see detailed metrics
Price History
Recent prices may not reflect a stock split yet.
Overlay
Price = daily closes (split/dividend adjusted). P/E & EV/EBITDA are trailing-twelve-month; dashed line = current forward P/E. Updated each trading day.
Valuation Metrics
Click any metric for details
Enterprise Value to EBITDA
Compares a company's total value (including debt) to its operating earnings before interest, taxes, depreciation, and amortization.
Lower is generally better โ suggests the company may be undervalued relative to its earnings power. Typical ranges vary by industry: tech often trades at 15-25x, while utilities may trade at 8-12x.
Forward Price-to-Earnings
Stock price divided by expected earnings per share over the next 12 months. Uses analyst estimates for future earnings rather than historical data.
Below the sector average may indicate relative value. Above sector could mean it's expensive, or investors expect higher growth. Growth stocks typically have higher P/Es.
Price/Earnings-to-Growth Ratio
P/E ratio divided by expected earnings growth rate. Adjusts valuation for growth expectations โ a high P/E might be justified if the company is growing fast.
PEG under 1.0 suggests the stock may be undervalued relative to its growth. PEG of 1.0-2.0 is typical for quality growth stocks. PEG over 2.0 may indicate overvaluation.
Fair Value
Pro
See whether this stock trades above or below its fair value.
Recent earnings beats and analyst-upgrade momentum.
How it works
Catalyst Score
๐
EPS Beat Streak
๐
Net Upgrades (180d)
๐
See recent earnings beats and analyst-upgrade momentum.
Analyst Track Record
Plus
See each covering analyst's historical hit rate.
Analyst Track Record
Average accuracy across all analysts in this sector
Analysts Covering
Sort by:
Hit rate = % of calls where the stock moved in the predicted direction
Financial Health
Plus
Click any metric for details
Piotroski F-Score
A 9-point scoring system that evaluates a company's financial strength based on profitability, leverage, liquidity, and operating efficiency.
7-9 (Strong): Excellent financial health with improving fundamentals.
4-6 (Average): Mixed financial signals.
0-3 (Weak): Potential financial distress or deteriorating fundamentals.
Altman Z-Score
A formula predicting the probability of bankruptcy within 2 years, combining 5 financial ratios including working capital, retained earnings, and sales.
Note: The Altman Z-Score was originally designed for manufacturing companies. It may be less reliable for financial firms, utilities, or service-based businesses.
See bankruptcy-risk and financial-strength scores for this company.
Growth Projections
Plus
Projected EPS Growth
๐
Projected Revenue Growth
๐
See projected EPS and revenue growth for this company.
Technical Overview
Click any metric for details
Relative Strength Index (14-day)
Momentum indicator measuring the speed and magnitude of recent price changes on a scale of 0-100.
Above 70 (Overbought): Stock may have risen too quickly and could be due for a pullback.
Below 30 (Oversold): Stock may have fallen too much and could be due for a bounce.
30-70 (Neutral): Neither overbought nor oversold.
50-Day Simple Moving Average
The average closing price over the past 50 trading days. Used to identify short-term trends.
Above the 50-day SMA: Stock is in a short-term uptrend. Often seen as bullish โ buyers are in control recently.
Below the 50-day SMA: Stock is in a short-term downtrend. May signal weakness or selling pressure.
200-Day Simple Moving Average
The average closing price over the past 200 trading days. The most widely followed indicator for long-term trend direction.
Above the 200-day SMA: Stock is in a long-term uptrend. Generally considered bullish โ the stock has sustained momentum.
Below the 200-day SMA: Stock is in a long-term downtrend. Often seen as a warning sign by technical traders.
The Compass Score is for educational purposes only and does not constitute financial advice.
Past performance does not guarantee future results. Always do your own research and consider
consulting a financial advisor before making investment decisions.
๐
Unlock Detailed Metrics
Upgrade to Plus to see the actual financial values behind each quality factor.