SS&C Technologies Inc (SSNC) Stock Analysis
P/E 24.96×· 5Y range 15.54–32.37×· 47th percentile of history
Sector: Technology · Industry: Services-Prepackaged Software
AnalystsStrong Buy16 analystsRisks
- ⚠Altman Z 1.7 — distress-zone balance sheet
Price History
5-Year Weekly Candlestick Chart
Profile
Strong earnings quality; financial health and growth lag behind.
How is each axis scored?
- Valuation69/100 · Moderate
- P/E vs own history (47th pct)12/25
- FCF yield (9.5%)25/25
- P/S (2.9x)20/25
- EV/EBIT (18.0x)12/25
- Growth43/100 · Weak
- Revenue CAGR (5.6%)12/25
- Net income CAGR (-0.1%)0/25
- EPS CAGR 5Y (1.3%)6/25
- Fwd implied growth (137.4%)25/25
- Profitability64/100 · Moderate
- ROIC (8.1%)12/25
- ROE (11.9%)12/25
- Net margin (12.7%)20/25
- Operating margin (22.9%)20/25
- Financial Health37/100 · Weak
- Altman Z (1.72)10/25
- Current ratio (1.06)12/25
- Interest coverage (3.3x)10/25
- Net cash / debt (D/A 36%)5/25
- Quality90/100 · Strong
- Piotroski F (6/9)15/25
- Beneish M (-2.68)25/25
- FCF conversion (220%)25/25
- Margin stability (σ 1.2%)25/25
About SS&C Technologies Inc
SS&C Technologies provides software products and software-enabled services to a variety of customers primarily in financial services. Show more
Acquisitions are a large part of SS&C's history. SS&C GlobeOp provides fund administration services to alternative and traditional asset managers. In addition, SS&C provides portfolio accounting, portfolio management, trading, banking/lending, and other software to asset managers, banks, and financial advisors. SS&C's purchase of Intralinks makes it a leading player in virtual deal room solutions. With its 2018 purchase of DST Systems, SS&C gained a foothold in the healthcare industry with pharmacy health management solutions and medical claim administration services. In 2022, SS&C acquired robotic process automation software firm Blue Prism.
Headquarters: WINDSOR, CT · Employees: 28,800 · Website ↗
Key Metrics
Financial snapshot · Tap any metric for its definition and grade
Valuation
69BP/E (TTM)25.0xB
Grade B: FairPrice / TTM EPS (own statements) — vs own 5Y history: 15.5x–32.4x · 47th pct
P/FCF12.3xA
Grade A: CheapPrice / Free Cash Flow per share (Finnhub). Inverse of FCF yield — negative when FCF is negative
FCF Yield9.5%A
Grade A: ValueTTM FCF / Market Cap — vs own 5Y history: 4.8%–11.2% · 92nd pct
P/S (TTM)2.94xB
Grade B: FairPrice / TTM Revenue (own statements) — vs own 5Y history: 2.4x–4.5x · 39th pct
EV/EBIT18.0xB
Grade B: FairEnterprise value / TTM EBIT (D&A not in our data) — capital-structure neutral — vs own 5Y history: 15.3x–23.3x · 20th pct
EV/Sales3.9xB
Grade B: FairEnterprise Value / TTM Revenue (Finnhub) — capital-structure neutral sales multiple
Forward P/E10.5xA
Grade A: CheapPrice / next-year EPS estimate — shows whether the TTM multiple is rich or just front-loading growth
P/B Ratio2.75xA
Grade A: FairPrice to Book Value. Neg. equity = heavy buybacks
PEG Ratio2.32C
Grade C: ExpensiveFinnhub PEG — their P/E basis ÷ expected EPS growth. Suppressed when their P/E diverges >2× from our TTM P/E (different basis)
Dividend Yield1.41%A
Grade A: PaysTTM dividend yield (Finnhub) — annual dividends / price. None = no dividend; very high yield can signal distress
Payout Ratio31.9%A
Grade A: SafeDividends / Net Income (Finnhub) — share of earnings paid out; >90% or negative = unsustainable
Profitability
64BROIC8.1%C
Grade C: AverageNOPAT (EBIT less ~21% tax) / invested capital (equity + debt − cash). Flagship quality metric — durable >15% signals a moat
ROE11.9%C
Grade C: AverageReturn on Equity. Neg. equity = heavy buybacks
ROA4.3%D
Grade D: WeakReturn on Assets (Finnhub) — Net Income / Total Assets; how efficiently assets produce profit
Net Margin12.7%A
Grade A: HighNet Income / Revenue
Operating Margin22.9%C
Grade C: AverageTTM EBIT / TTM Revenue
Gross Margin48.2%C
Grade C: AverageGross Profit / Revenue
FCF Margin27.9%A
Grade A: HighFCF / Revenue
True FCF Margin23.6%A
Grade A: HighTTM (OCF − CapEx − SBC) / TTM Revenue — SBC treated as a real cost
Growth
43D+Revenue CAGR5.6%C
Grade C: OkCompound annual revenue growth (up to 5Y depending on data availability)
Net Income CAGR-0.1%D
Grade D: LowCompound annual net income growth (up to 5Y depending on data availability)
EPS CAGR (5Y)1.3%D
Grade D: LowCompound annual EPS growth over up to 5Y of per-share earnings (own statements). Null when either endpoint EPS ≤ 0
Implied EPS Growth137.4%A
Grade A: HighImplied 1Y EPS growth from forward P/E vs our TTM EPS. Sparse — only where forward estimates exist
Dilution (5Y)—
Share count change over 5Y
SBC / Net Income33.7%D
Grade D: HighStock-based comp/Net income. >30% = dilution risk
SBC / Revenue4.3%C
Grade C: MedTTM stock-based comp / TTM Revenue
Financial Health
37DAltman Z-Score1.72D
Grade D: DistressBankruptcy risk. >3 Safe, <1.8 Distress
Current Ratio1.06xC
Grade C: OkCurrent Assets/Liabilities
Quick Ratio1.04xA
Grade A: High(Current Assets − Inventory) / Current Liabilities (Finnhub) — stricter liquidity test, excludes inventory
Interest Coverage3.3xC
Grade C: OkEBIT/Interest. >10 Strong
Debt Repayment4.2yC
Grade C: AverageYears to repay net debt via FCF
Net Debt/EBIT5.1xD
Grade D: HighLeverage. <2x Low, >4x High
Debt/Equity1.16xC
Grade C: MedDebt / Equity: <1 Conservative, >2 Risky. Not meaningful with non-positive equity; shown as unavailable rather than low debt.
Cash / Debt0.06xD
Grade D: ThinCash covers how much of total debt. >1 = could repay all debt from cash
Quality
90A+Piotroski F-Score6/9C
Grade C: AverageFinancial strength 0–9. >7 Strong
Beneish M-Score-2.68A
Grade A: SafeEarnings manipulation risk. < -2.22 Safe
FCF Conversion219.8%A
Grade A: StrongFCF / Net Income
Margin Stability1.2%A
Grade A: StableEBIT margin std deviation. Lower = stable
Capex / Revenue1.0%A
Grade A: Asset-lightTTM CapEx / TTM Revenue — high % = capital-hungry business
Asset Turnover0.30xD
Grade D: LowRevenue / Total Assets (Finnhub) — how efficiently the asset base generates sales
More metrics — Per Share, Balance Sheet, MarketHide additional metrics
Per Share
EPS (TTM)$3.15
Own TTM net income / shares — same earnings basis as P/E
Cash / Share$1.91
Cash & short-term investments per share (Finnhub)
Book Value / Share$28.53
Shareholders' equity per share (Finnhub). Negative = accumulated losses / heavy buybacks
Balance Sheet
Total Debt$7.78B
Total debt obligations (short + long term)
Cash & Equiv.$434.80M
Cash and short-term investments
Net Debt$7.34B
Total Debt minus Cash. Negative = Net Cash position
Total Equity$6.71B
Shareholders' equity (book value)
Asset / Liability1.48xC
Grade C: AdequateTotal Assets / Total Liabilities
Market
Market Cap$18.45B
Current Market Capitalization
Beta1.06B
Grade B: MarketPrice sensitivity vs the market (Finnhub) — 1.0 moves with market, >1.2 amplifies swings
Takeaway
Takes ~4.2 years to repay net debt from free cash flow. · Current P/E of 25.0x sits at the 47th percentile of its historical range.
How grades work: each metric is graded A–D against fixed thresholds (tap a row for the meaning). Card grades map the pillar score to A+–E — a card grade is that pillar's own score, not an average of the rows shown.
Financials as of Dec 2025 · Ratio snapshot Sep 27, 2026
Key Insights: SS&C Technologies Inc (SSNC)
Piotroski F-Score of 6/9 indicates mixed fundamentals for SS&C Technologies Inc. Altman Z-Score of 1.72 is below the 1.81 distress threshold — an elevated financial-risk flag. Beneish M-Score of -2.68 suggests a low likelihood of earnings manipulation.
- SS&C Technologies Inc converts about 28% of revenue into free cash flow — strong cash generation.
- Takes ~4.2 years to repay net debt from free cash flow.
Insider Transactions
Recent SEC Form 4 filings · 8 records
| Transaction date | Insider | Transaction | Shares | Filed |
|---|---|---|---|---|
Schell Brian N Filed | Schell Brian N | SellOption exercise | -40170 | |
Schell Brian N Filed | Schell Brian N | SellTax withholding | -17937 | |
Schell Brian N Filed | Schell Brian N | BuyOption exercise | +40.2K | |
ZAMKOW MICHAEL JAY Filed | ZAMKOW MICHAEL JAY | SellOption exercise | -3000 | |
ZAMKOW MICHAEL JAY Filed | ZAMKOW MICHAEL JAY | SellOpen market sale | -3000 |
Show 3 more filingsShow fewer filings
| Transaction date | Insider | Transaction | Shares | Filed |
|---|---|---|---|---|
ZAMKOW MICHAEL JAY Filed | ZAMKOW MICHAEL JAY | BuyOption exercise | +3.0K | |
ZAMKOW MICHAEL JAY Filed | ZAMKOW MICHAEL JAY | BuyGrant / award | +3.2K | |
ZAMKOW MICHAEL JAY Filed | ZAMKOW MICHAEL JAY | SellOption exercise | -2580 |
See how SSNC ranks on the Capex Tracker — top 50 capital spenders compared.
No significant market moves for SSNC in the last 30 days.
See SSNC move history →Frequently Asked Questions about SSNC
What is the current SS&C Technologies Inc (SSNC) stock price?
SSNC is trading at $78.61 at the last market close, up 0.14% on the session. PreMarketPrice tracks SSNC pre-market, intraday and after-hours prices.
Is SSNC stock a buy right now?
PreMarketPrice's quantitative model rates SS&C Technologies Inc's financial health at 37/100. This is a data-driven snapshot of fundamentals, not investment advice.
Is SSNC stock overvalued?
SS&C Technologies Inc trades at a trailing P/E of 25.0 and our valuation score rates it 69/100 (higher = cheaper vs. its own history). See the Valuation History and Key Metrics sections for forward P/E, EV/EBITDA and PEG context.
When does SS&C Technologies Inc report earnings?
No confirmed earnings date is currently scheduled for SSNC. The Earnings section lists recent reports and updates as dates are announced.
What sector does SS&C Technologies Inc operate in?
SS&C Technologies Inc operates in the Technology sector, within the Services-Prepackaged Software industry. The Related Stocks section lists sector peers for comparison.
What does SS&C Technologies Inc do?
SS&C Technologies provides software products and software-enabled services to a variety of customers primarily in financial services.
About SS&C Technologies Inc (SSNC) Stock
SS&C Technologies Inc (SSNC) is a US-listed stock operating in the Technology sector, specifically the Services-Prepackaged Software industry. As of the latest update, SS&C Technologies Inc is trading at $78.61, up 0.14% on the day with a market capitalization of $18.4 billion. The financial health score for SSNC is 37/100, which indicates weak financial strength based on profitability, leverage, liquidity, and growth metrics. This page provides real-time pre-market pricing, earnings calendar, financial health analysis, and valuation metrics for SSNC stock.
SSNC Stock Analysis & Key Metrics
On PreMarketPrice, you can track SS&C Technologies Inc (SSNC) across multiple dimensions:
- Pre-market price & movement: Real-time SSNC stock price with percentage change, updated continuously during pre-market and regular trading hours.
- Valuation & P/E history: Historical P/E, P/S, and P/B ratios for SSNC with trend analysis and normalized valuation multiples.
- Financial statements: Revenue, net income, assets, liabilities, and equity for SS&C Technologies Inc across multiple reporting periods.
- Financial health score: A composite score of 37/100 based on Altman Z-Score, Piotroski F-Score, profitability, and leverage metrics for SSNC.
- Sector peers: Compare SSNC against 10 other technology stocks on key financial metrics.
Is SSNC a Good Stock to Buy?
This page provides data-driven analysis to help you evaluate SS&C Technologies Inc (SSNC) as an investment. The financial health score of 37/100 suggests weak financial fundamentals. Valuation metrics show whether the stock is trading above or below its historical average.However, this is not financial advice — always do your own research before investing.
Data on this page is sourced from real-time market feeds, Polygon.io, and Finnhub.SS&C Technologies Inc (SSNC) trades on NYSE/NASDAQ. Pre-market trading occurs 4:00 AM – 9:30 AM ET. Regular market hours are 9:30 AM – 4:00 PM ET.