Screener › SaaS Software Stocks

SaaS Software Stocks

🏭 By Sector 26 stocks Updated: 05 Apr 2026 🌐 DE

Software-as-a-Service stocks — recurring revenue businesses with high gross margins and strong customer retention, the gold standard of modern business models.

Results: 26
Total Mkt Cap: $73B
Avg Price: $30.4
Sorted by: Mkt Cap ↓
Ticker Company Price Mkt Cap Rev. Growth Gross Margin P/E
TOST Toast $26.47 +1.53% $15.59B 22% 26% 47.3x
DOCN DigitalOcean $90.01 +2.66% $9.36B 18.3% 59.9% 35.7x
APPF AppFolio $157.11 +1.93% $5.65B 21.9% 63.7% 40.5x
FSLY Fastly $33.50 +3.52% $5.09B 22.8% 57.1%
DUOL Duolingo $96.54 +0.36% $4.53B 35% 72.2% 11.3x
GTLB GitLab $22.57 +2.68% $3.84B 23.2% 87.4%
CLBT Cellebrite DI $14.00 +0.86% $3.49B 18.1% 84.2% 45.2x
BRZE Braze $23.68 +0.42% $2.69B 27.9% 67.2%
AMBA Ambarella $50.54 -1.06% $2.21B 20.1% 59.2%
ALRM Alarm.com $43.67 +0.85% $2.18B 8% 66.2% 17.8x
AVPT AvePoint $9.94 +2.26% $2.15B 28.6% 74.1% 66.3x
SPSC SPS Commerce $56.08 -0.27% $2.11B 12.7% 69.2% 22.8x
NVTS Navitas Semiconductor $8.80 +3.04% $2.03B -59.4% 31%
NCNO nCino $17.10 +3.2% $1.98B 5.9% 60.8% 342x
ALKT Alkami Technology $16.56 +3.44% $1.76B 34.7% 57.8%
RAMP LiveRamp Holdings $27.16 +2.37% $1.73B 8.6% 70.4% 26.1x
ASAN Asana $6.37 +0.63% $1.52B 9.2% 89%
PDFS PDF Solutions $34.71 +3.92% $1.38B 24.6% 72.3%
LSPD Lightspeed Commerce $8.89 -0.56% $1.22B 11.5% 42.8%
SSYS Stratasys $7.97 +0.63% $686.8M -6.9% 43%
CEVA CEVA Inc $19.64 +0.77% $545.1M 7.1% 87.1%
YEXT Yext $3.76 -4.33% $463.8M -1% 75% 53.7x
TTGT TechTarget $4.12 +6.46% $297.8M 40.1% 60.2%
XPER Xperi $5.72 +1.06% $268.7M -4.8% 72.3%
DOMO Domo $2.91 +1.39% $121.6M 1.1% 75%
LPSN LivePerson $2.59 +0.78% $31.2M -19% 71.5%

Analysis and Context

This sector screener currently shows 26 stocks from the selected industry segment — updated daily. The average P/E ratio is 64.4x. The average revenue growth rate is 11.9%. Sectors move through cyclical phases strongly correlated with macro factors — interest rates, GDP growth, commodity prices, and regulatory environment all drive sector dynamics. Analysts see an average of 48.5% upside in these sector names. Compare metrics against the sector average to identify relative over- and undervaluations. Sector concentration increases portfolio risk — maintain adequate diversification across industries and business models.

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