Liftoff Mobile, Inc. Common Stock (LFTO) is a publicly traded company in the Communication Services — Advertising Agencies industry listed on NASDAQ. This overview shows the latest price, key valuation ratios, profitability metrics and financial-health indicators used by fundamental investors.
Liftoff Mobile, Inc. provides mobile advertising, monetization, and performance marketing solutions powered by machine learning. The company offers a platform called Cortex, which uses neural network technology to optimize ad campaigns and improve return on investment. It delivers tools for user acquisition, engagement, and analytics for mobile apps, along with solutions for agencies and marketers to scale brand and performance campaigns.
Is Liftoff Mobile, Inc. Common Stock stock overvalued or undervalued in 2026?
As of October 2, 2026, Liftoff Mobile, Inc. Common Stock (LFTO) trades at 53.0× earnings (P/E), against a median of 17.3× across the 83 communication companies above $2bn in Kaplio's universe. No valuation verdict: we are reviewing its P/E because two ways of calculating it do not match.
Kaplio overview: Liftoff Mobile, Inc. Common Stock
Market cap $3B · 52 weeks $15 – $28 (46 % below the high) · P/E 53.0× · 2027 expected P/E 10.4× · Dividend 10.1 % · Next earnings November 11, 2026 · expected EPS $0.17 · Closing price, Oct 2 · accounts published Aug 12.
- Valuation: P/E 53.0× (no verdict).
- Business: EBITDA margin 29.6 % (solid).
- Balance sheet: Net debt/EBITDA 8.3× (fragile).
- Earnings: Next.
What would it be worth at its usual multiples?
No valuation verdict: we are reviewing its P/E because two ways of calculating it do not match.
What matters in communication: 2 of 5 pass
- Net debt / EBITDA 8.3×, fails.
- Payout on FCF 300.7 %, fails.
- FCF yield 4.9 %, borderline.
- EBITDA margin 29.6 %, passes.
- Capex / Revenue 7.3 %, passes.
Against its peers (same industry, similar size) — Liftoff Mobile, Inc. Common Stock: P/E 53.0×; EV/EBITDA 24.8×; ROIC 11.6 %; $2.6B. Pattern Group Inc. Series A Common Stock (P/E —; EV/EBITDA 72.0×; ROIC 5.8 %; $2.6B), Ziff Davis, Inc. (P/E 3.1×; EV/EBITDA 5.3×; ROIC 4.8 %; $2.1B), Magnite, Inc. (P/E 23.1×; EV/EBITDA 23.3×; ROIC 8.6 %; $3.6B).
Dividend
fragile · Yield 10.13 % ($2.33 per share in 2025) · Free cash flow coverage 0.3× · With $1,000 invested today you'd collect $101.30 a year ($8.44 a month).
Profitability
| Return on Equity | 2.43% |
| Return on Invested Capital | 11.63% |
| Return on Assets | -1.22% |
| Gross Margin | 85.15% |
| Operating Margin | 24.39% |
| Net Margin | -3.38% |
Financial Health
| Debt / Equity | -1.91 |
| Current Ratio | 1.07 |
| Piotroski F-Score | 5 |
| Altman Z-Score | 0.68 |
Price Performance
| 1 month | -18.57% |
| 3 months | -35.42% |
Related companies: OMC · 0KBK.L · 0LF5.L · TTD · WPP · WPP.L · MGNI
Explore sector: Communication Services · Advertising Agencies
More sections of LFTO: Financials · Valuation · Statistics · Estimates · Technical · Ownership · News · Events
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