Valuation
SoftwareLive · Yahoo FinancePrice
$27.66
52-Week Range
Decision Context
Altman Z-Score indicates financial distress risk. Review debt levels and cash runway before any position sizing decision.
Based on filing period ending Mar 2026
FisclearScore is a quantitative model using public financial data and sector median benchmarks (refreshed monthly). Not financial advice. Always conduct independent due diligence.
Macro Context
Fed Funds Rate
3.64%
Accommodative
10-Year Treasury
4.32%
2026-04-01
Unemployment
4.3%
Near full employment
CPI Index
332.4
2026-04-01
M2 Money Supply
$22.8T
2026-04-01
The Federal Funds rate stands at 3.64% — a moderately elevated rate environment that raises borrowing costs across the economy; 10-year Treasury yields are at 4.32%, setting the benchmark for long-term corporate borrowing; Unemployment stands at 4.3%; Industrial production index is at 102.5; M2 money supply is $22.8T; CPI index stands at 332.4.
SWOT Analysis — BLKB
Inflationary BoomStrengths
EPS (Diluted): $2.37 (+142.3% YoY) — Earnings per share rose 142% — each share earned more.
Net Income: $115.0M (+140.6% YoY) — Profit grew 141% — the company kept more of each dollar earned.
Weaknesses
Operating Cash Flow: $265.6M (-10.3% YoY) — Operating cash flow fell 10% but remained positive.
Total Assets: $2.4B (-4.2% YoY) — Total assets shrank 4% — the balance sheet contracted.
R&D spending is 57% of revenue — heavy investment in future growth, but also a drag on current profitability.
Opportunities
Gross Profit: $663.3M (+3.8% YoY) — Gross profit rose 4% — the spread between revenue and direct costs improved.
Threats
Total liabilities are 96% of total assets — the balance sheet is heavily leveraged with limited equity cushion.
Current ratio of 0.79x — short-term liabilities exceed current assets, which could create near-term liquidity pressure.
Stock is within 10% of its 52-week low (28.88) — the market may be pricing in significant risk or sector weakness.
Financial Charts
Revenue vs Net Income
Gross Profit vs Operating Income
Margin Trend
Operating Cash Flow
Year-over-Year Changes
EPS (Diluted)
$2.37
was $-5.60
Earnings per share rose 142% — each share earned more.
Net Income
$115.0M
was -$283.2M
Profit grew 141% — the company kept more of each dollar earned.
Operating Cash Flow
$265.6M
was $296.0M
Operating cash flow fell 10% but remained positive.
Total Assets
$2.4B
was $2.5B
Total assets shrank 4% — the balance sheet contracted.
Gross Profit
$663.3M
was $639.2M
Gross profit rose 4% — the spread between revenue and direct costs improved.
Risk Flags
2 high · 1 medium · 1 low- ⚠ High
Total liabilities are 96% of total assets — the balance sheet is heavily leveraged with limited equity cushion.
- ⚠ High
Current ratio of 0.79x — short-term liabilities exceed current assets, which could create near-term liquidity pressure.
- ◈ Medium
Stock is within 10% of its 52-week low (28.88) — the market may be pricing in significant risk or sector weakness.
- ○ Low
R&D spending is 57% of revenue — heavy investment in future growth, but also a drag on current profitability.
Price History
Technical Signals
Daily closes · 1-year dataLatest News
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External Links
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Data sourced from SEC EDGAR, FRED (Federal Reserve Economic Data), and Yahoo Finance. For informational purposes only. Not financial advice.