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Abacus Global Management (ABX) Stock Fundamentals, Analysis & Risk Signals

Health score, price, valuation, risk signals, and key metrics at a glance.

Abacus Global Management
NYSE•Financial Services•Insurance - Life
$9.24+0.03(<0.01%)Market open
Market Cap
$864.55M
P/E
30.7x
P/S
3.2x
P/B
2.0x

Abacus Global Management, Inc. operates as an alternative asset manager and market maker in the United States, Luxembourg, and internationally. The company operates in three segments: Asset Management, Life Solutions, and Technology Services segments. The Asset Management segment provides asset management services to investors investing in alternative investment and exchange-traded funds. The Life Solutions segment originates life insurance policy settlements between investors or buyers, and the sellers, who are often the original policy owners. The Technology Services segment provides real-time mortality verification, missing participant verification, and other services specific to the life insurance market services to customers on a contract basis. It sells its products through financial advisors or agents, direct-to-consumer, and traditional life settlements intermediaries. The company was formerly known as Abacus Life, Inc. and changed its name to Abacus Global Management, Inc. in February 2025. Abacus Global Management, Inc. was founded in 2004 and is headquartered in Orlando, Florida.

B

How this company scores

GoodMetricSide Score: 69/100

Strongest: Growth (22/25); weakest: Balance Sheet & Red Flags (11/25).

Profitability18/25
Growth22/25
Balance Sheet & Red Flags11/25
Cash & Earnings Quality18/25
Strengths
Growing revenueStrong marginsRising earningsCash-backed earnings

Valuation vs. 5-year range

Today's multiple positioned against its own trailing range — a visual premium/discount check.

P/E · 30.7x5y range 19.7x – 284.8x
P/E 30.7x · below its 8-quarter median

Currently below its 8-quarter median.

P/S · 3.2x5y range 2.9x – 46.2x
P/S 3.2x · below its 13-quarter median

Currently below its 13-quarter median.

P/B · 2.0x5y range 1.2x – 4.0x

Watch items

Data-driven signals worth keeping an eye on across the last 8 quarters

High Risk

Margin Pressure

Red Flag

The company posted negative operating margins in recent quarters — core operations are unprofitable.

Earnings Quality

Red Flag

Free cash flow has been negative in 5 of the last 8 quarters — earnings are not translating to cash.

Price & Volume
Market Cap $864.55M

Metrics at a Glance

as of June 2026

Revenue & Profit

Revenue, EBITDA, operating income, net income, EPS, and shares

TTM Revenue
$267.28M
6Q
Q. Revenue
$73.02M
30%
TTM EBITDA
$101.58M
2Q
TTM Op. Income
$85.02M
2Q
Q. Op. Income
$21.48M
5%
TTM Net Income
$28.20M
2533%
Q. Net Income
$6.63M
62%
EPS
$0.07
61%
Shares Out.
$95.32M
2Q
$267.28M in TTM revenue grew 65.3% YoY, reaching $73.02M last quarter. TTM EBITDA of $101.58M and TTM operating income of $85.02M show growth is flowing through to the bottom line. TTM net income of $28.20M means revenue is converting into profit. Across the last 8 quarters, TTM revenue has risen for 6 consecutive quarters — an improving trend.

Margins

Gross, EBITDA, operating, and net margin trends

Gross Margin
87.6%
2%
EBITDA Margin
34.8%
5Q
Op. Margin
29.4%
5Q
Net Margin
9.1%
71%
Op. margin of 29.4% is down 10.6% YoY — costs are rising relative to revenue. Net margin at 9.1% and gross margin of 87.6% show how much of each revenue dollar survives to profit. Across the last 8 quarters, operating margin has fallen for 5 consecutive quarters — a weakening trend.

Price Ratios

P/E, P/S, P/B, EV/EBITDA, FCF yield, and earnings yield

P/E Ratio
30.7x
P/S Ratio
3.2x
7%
P/B Ratio
2.0x
70%
At 30.7x P/E, the stock trades above typical market levels — the market expects above-average growth. P/S of 3.2x and P/B of 2.0x provide additional context. Use the growth and margin sections to judge whether the multiple is justified. Over the past year, P/E is up 0% — a weakening trend.

Assets & Liabilities

Total assets, cash, debt, book value, and leverage

Total Assets
$867.73M
2%
Cash
$23.39M
3Q
Long-Term Debt
$290.82M
29%
Book Value
$434.68M
4%
D/E Ratio
0.7
24%
Debt/EBITDA
11.4
41%
With $867.73M in assets and $290.82M in long-term debt, D/E is 0.7and book value is $434.68M — a conservative capital structure with a cushion to weather downturns. Over the past year, debt/equity is up 24% — an improving trend.

Cash Flow

Operating cash flow, free cash flow, FCF margin, and earnings quality

Op. Cash Flow
$39.26M
48%
TTM Free Cash Flow
$89.47M
168%
FCF Margin
33.5%
141%
FCF / Net Income
3.2
97%
TTM FCF of $89.47M on $39.26M in operating cash flow. The FCF / Net Income ratio of 3.2x means free cash flow covers net income — earnings are backed by cash. Over the past year, free cash flow is up 168% — a weakening trend.

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P/B 2.0x
· near its 13-quarter median

Currently near its 13-quarter median.

Leverage Risk

Watch

Debt-to-equity has risen 23.9% recently — increasing financial risk even if the current ratio is manageable.

Cash Burn

Watch

5 of the last 8 quarters had negative FCF — inconsistent cash generation raises sustainability concerns.

Share Dilution

Red Flag

Shares outstanding increased 27.6% — significant dilution, likely from stock compensation or capital raises.