Skip to main content

Robinhood Markets Inc (HOOD)

Capital Markets
Servicios Financieros
cíclico
sensible a tipos de interés

Robinhood Markets, Inc. operates financial services platform in the United States. Its platform allows users to invest in stocks, exchange-traded funds (ETFs), American depository receipts, options, gold, and cryptocurrencies. The company offers fractional trading, recurring investments, fully-paid securities lending, access to investing on margin, cash sweep, instant withdrawals, retirement program, around-the-clock trading, joint investing accounts, event contracts, and future contract services. It also provides various learning and education solutions comprise Snacks, an accessible digest of business news stories for a new generation of investors.; Learn, which is an online collection of guides, feature tutorials, and financial dictionary; Newsfeeds that offer access to free, premium news from sites from various sites, such as Barron’s, Reuters, and Dow Jones. In addition, the company offers In-App Education, a resource that covers investing fundamentals, including why people invest, a stock market overview, and tips on how to define investing goals, as well as allows customers to understand the basics of investing before their first trade; and Crypto Learn and Earn, an educational module available to various crypto customers through Robinhood Learn to teach customers the basics related to cryptocurrency. Further, it provides Robinhood credit cards, cash card and spending accounts, and wallets. The company also owns and operates a digital currency marketplace that allows companies and individuals from all around the world to buy and sell bitcoin, litecoin, ethereum, ripple, and bitcoin cash. Robinhood Markets, Inc. was incorporated in 2013 and is headquartered in Menlo Park, California.

Precio Actual

$131.95
-3.74% vs día anterior

Capitalización

119B

Desviación

-30.24%

Y/Y Growth

19.8%

EBIT Margin

50.7%

ROIC

-5%

PEG Ratio

3.67

ROE

-5.7%

3Y EPS Growth

13.6%

Net Debt / EBITDA

3x

Proyecciones CAGR

Proyecciones de tasa de crecimiento anual compuesta basadas en diferentes modelos de valoración. CAGR EV/FCF es la métrica principal.

CAGR EV/FCF
8.3%
CAGR EV/FCF (2025):
43.3%
CAGR Prom.:
6.2%
CAGR P/E:
1.2%
CAGR EV/EBITDA: 8.0%
CAGR EV/EBIT: 7.4%
Precio de compra para +15%:
$90.65

Múltiplos de Valoración

Múltiplos de valoración utilizados para las estimaciones de CAGR y precios objetivo.

P/E
50x
(Fair: 36x)
EV/FCF
40x
EV/EBITDA
50x
EV/EBIT
50x

Gráfico de Evolución del Precio

Precios Objetivo FCF

Precios futuros estimados de la acción basados en proyecciones de flujo de caja libre.

Calculadora de Sensibilidad

Compara el CAGR de tu valoración con el que resultaría al aplicar diferentes múltiplos (LTM y Fair P/E).

Mercado LTM P/E
73x
Fair P/E
36x
CAGR EV/FCF
Tu Múltiplo: 40x
8.3%
22.1%
6.0%
CAGR P/E
Tu Múltiplo: 50x
1.2%
9.1%
-5.3%
Tu CAGR
CAGR con LTM
CAGR con Fair P/E

Notas

Rendimiento Histórico vs. Índices

Rendimiento anual (YTD) de la acción comparado con índices y materias primas de referencia.

Media vs. Bitcoin
+26.09%
Media vs. Gold
+59.58%
Media vs. Bono USA 7-10y
+81.65%
Media vs. Bono USA 1-3y
+78.51%
Media vs. Bono USA 20+y
+87.71%
Media vs. Dow Jones
+67.62%
Media vs. S&P 500
+62.83%
Media vs. NASDAQ 100
+60.34%
Media vs. MSCI World
+65.41%
Media vs. Russell 2000
+71.23%
Media vs. STOXX Europe 600
+69.94%
Rendimiento anual de cada inversión. La línea discontinua marca el 0% (punto de equilibrio).
Año
Rendimiento HOOD
Rendimiento Bitcoin
Rendimiento vs. Bitcoin
Rendimiento Gold
Rendimiento vs. Gold
Rendimiento Bono USA 7-10y
Rendimiento vs. Bono USA 7-10y
Rendimiento Bono USA 1-3y
Rendimiento vs. Bono USA 1-3y
Rendimiento Bono USA 20+y
Rendimiento vs. Bono USA 20+y
Rendimiento Dow Jones
Rendimiento vs. Dow Jones
Rendimiento S&P 500
Rendimiento vs. S&P 500
Rendimiento NASDAQ 100
Rendimiento vs. NASDAQ 100
Rendimiento MSCI World
Rendimiento vs. MSCI World
Rendimiento Russell 2000
Rendimiento vs. Russell 2000
Rendimiento STOXX Europe 600
Rendimiento vs. STOXX Europe 600
2025
YTD en Vivo
234.56%-1.40%+235.96%57.46%+177.10%4.29%+230.27%0.99%+233.57%0.69%+233.87%13.12%+221.44%16.85%+217.71%22.29%+212.27%20.22%+214.34%12.99%+221.57%13.34%+221.22%
2024
201.21%110.77%+90.44%26.96%+174.26%-3.73%+204.94%0.05%+201.16%-11.17%+212.38%12.80%+188.41%24.01%+177.20%30.78%+170.43%17.88%+183.33%10.80%+190.41%5.50%+195.71%
2023
57.67%153.66%-95.98%11.76%+45.92%-0.15%+57.82%0.98%+56.69%-2.54%+60.22%13.74%+43.93%24.73%+32.94%44.52%+13.15%21.92%+35.75%15.78%+41.89%11.67%+46.00%
2022
-55.86%-65.23%+9.37%0.78%-56.64%-15.93%-39.93%-5.00%-50.86%-31.00%-24.85%-9.40%-46.46%-19.95%-35.90%-33.89%-21.96%-19.70%-36.16%-22.50%-33.36%-13.29%-42.57%
2021
-48.99%60.33%-109.33%-6.24%-42.76%-4.15%-44.84%-0.98%-48.01%-5.94%-43.06%20.23%-69.23%28.79%-77.79%23.20%-72.20%21.22%-70.22%15.39%-64.38%21.66%-70.66%
2020
N/A301.93%N/A23.90%N/A8.33%N/A2.02%N/A15.12%N/A6.02%N/A15.29%N/A41.75%N/A12.94%N/A18.48%N/A-4.64%N/A
2019
N/A88.85%N/A17.78%N/A5.55%N/A1.20%N/A10.91%N/A21.91%N/A28.34%N/A34.60%N/A25.23%N/A23.05%N/A23.42%N/A
2018
N/A-71.79%N/A-3.12%N/A-0.97%N/A-0.24%N/A-3.17%N/A-6.03%N/A-7.01%N/A-5.30%N/A-11.16%N/A-13.00%N/A-13.42%N/A
2017
N/A1,184.56%N/A11.93%N/A0.76%N/A-0.63%N/A6.03%N/A24.33%N/A18.42%N/A27.16%N/A19.45%N/A12.45%N/A7.16%N/A
2016
N/A109.91%N/A6.53%N/A-1.15%N/A-0.02%N/A-1.91%N/A15.24%N/A11.24%N/A9.79%N/A6.53%N/A22.42%N/A1.33%N/A
Media77.72%187.16%+26.09%14.77%+59.58%-0.71%+81.65%-0.16%+78.51%-2.30%+87.71%11.20%+67.62%14.07%+62.83%19.49%+60.34%11.45%+65.41%9.59%+71.23%5.27%+69.94%

Historial de Valoración

Historial de cambios significativos en los factores de valoración y precios objetivo a lo largo del tiempo. Los valores resaltados indican un cambio respecto a la valoración anterior.

Fecha de Valoración
Y/Y Growth
EBIT Margin
Net Debt/EBITDA
P/E
EV/FCF
EV/EBITDA
EV/EBIT
Objetivo 2025
Objetivo 2026
Objetivo 2027
Objetivo 2028
Objetivo 2029
10/4/202519.8%50.7%3x50x(48x)40x50x50x$189.15$145.86$146.96$163.70$182.33

Análisis de Outperformance

Rendimiento histórico vs índices principales y métricas de consistencia

Outperformance Promedio vs Índices

Rendimiento promedio comparado con los principales índices del mercado

Outperformance
Underperformance

Evolución del Rendimiento Año a Año

Rendimiento histórico con marcadores de mejores y peores años

🏆Best Year
2025
+234.56%
📉Worst Year
2022
-55.86%

Consistencia de Rendimiento

Porcentaje de años con rendimientos positivos

60%
3 of 5 years positive
Consistency ScoreGood
0%50%70%100%

HOOD shows moderate consistency with positive returns in 60% of years.