VeriSign
NasdaqGS:VRSN
$ 276,95
+ $7,12 (2,64%)
276,95 $
+$7,12 (2,64%)
End-of-day quote: 04/23/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

$8,81
Earnings Per Share
$18,07
Revenue Per Share
88,15%
Gross Margin %
$25,23 B
Market Cap
$1,79 B
Long-Term Debt
Earnings Per Share
$8,81
Revenue Per Share
$18,07
Gross Margin %
88,15%
Market Cap
$25,23 B
Long-Term Debt
$1,79 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share $8,81 $8,00 $7,90 $6,78 $5,99 $5,72 $5,31 $5,05 $3,96 $3,61 $3,05 $2,72 $2,40 $1,97 $1,49 $1,03 $1,28 $0,96 $1,02 $0,94
Earnings Earnings $807,88M $756,80M $797,11M $711,09M $659,92M $646,87M $618,19M $604,54M $384,60M $369,41M $333,88M $317,91M $320,78M $300,54M $237,68M $178,65M $234,82M $184,64M $217,66M $229,21M
RPS Revenue Per Share $18,07 $16,46 $14,80 $13,59 $12,05 $11,19 $10,58 $10,15 $12,00 $11,16 $9,68 $8,64 $7,22 $5,73 $4,84 $3,92 $5,62 $4,87 $7,01 $6,46
Revenue Revenue $1,66B $1,56B $1,49B $1,42B $1,33B $1,27B $1,23B $1,21B $1,17B $1,14B $1,06B $1,01B $965,09M $873,59M $771,98M $680,58M $1,03B $936,32M $1,50B $1,58B
OCF Operating Cash Flow $1,09B $902,60M $853,80M $831,10M $807,15M $730,18M $753,89M $697,77M $702,76M $667,95M $651,48M $600,95M $579,40M $537,63M $335,90M $215,21M $395,19M $477,65M $470,46M $474,78M
FCF Free Cash Flow $1,04B $874,50M $822,00M $803,70M $754,12M $686,79M $713,58M $660,76M $653,26M $641,38M $610,83M $561,62M $513,80M $484,61M $143,24M $134,68M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 67,67% 67,95% 67,01% 66,19% 65,29% 65,15% 65,45% 63,16% 60,74% 60,11% 57,20% 55,88% 54,73% 52,35% 44,68% 36,61% 28,41% 14,77% 0,55% 3,02%
GM % Gross Margin % 88,15% 87,71% 86,79% 85,91% 85,54% 85,76% 85,35% 84,19% 83,41% 82,64% 81,80% 81,35% 80,62% 80,81% 78,59% 76,98% 72,94% 71,22% 71,77% 70,77%
FCFS Free Cash Flow Per Share $11,43 $8,91 $7,81 $7,45 $6,73 $5,97 $6,02 $5,82 $6,51 $4,89 $5,51 $4,43 $3,55 $3,09 $0,87 $0,76 $1,45 $1,84 $1,34 $1,20
LT Debt Long-Term Debt $1,79B $1,49B $1,79B $1,79B $1,79B $1,79B $1,79B $1,79B $1,78B $1,24B $1,24B $740,18M $750,00M $697,61M $690,09M $581,63M $574,38M $568,71M $1,27B N/A
Sha. Stocks 91,7M 94,6M 100,9M 104,88M 110,17M 113,09M 116,42M 119,71M 97,12M 102,33M 109,47M 116,88M 133,66M 152,56M 159,52M 173,45M 183,45M 192,33M 213,39M 243,84M
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