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High Debt company with Weak Long Term Fundamental Strength
- Poor long term growth as Net Sales has grown by an annual rate of -10.03% over the last 5 years
- High Debt Company with a Debt to Equity ratio (avg) at times
The company declared negative results in Mar'25 after positive results in Dec'24
With ROCE of 11.02%, it has a risky valuation with a 2.62 Enterprise value to Capital Employed
High Institutional Holdings at 100%
Consistent Underperformance against the benchmark over the last 3 years
Total Returns (Price + Dividend) 
Thryv Holdings, Inc. for the last several years.
Risk Adjusted Returns v/s 
News

Thryv Holdings Hits 52-Week Low, Trading at $7.55 Amid Decline
Thryv Holdings, Inc. has reached a new 52-week low, reflecting a significant decline in its stock performance over the past year. The company faces financial challenges, including a high debt-to-equity ratio and declining net sales, while its market capitalization stands at USD 920 million.
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Thryv Holdings Hits New 52-Week Low at $7.84 Amid Declining Sales
Thryv Holdings, Inc. has reached a new 52-week low, reflecting a challenging year with a significant stock price decline. The company faces high valuation metrics and a reliance on debt financing, alongside decreasing net sales and profits, indicating ongoing operational and financial difficulties compared to broader market performance.
Read MoreIs Thryv Holdings, Inc. technically bullish or bearish?
As of 8 September 2025, the technical trend for Thryv Holdings, Inc. has changed from bearish to mildly bearish. The weekly MACD indicates a mildly bullish stance, while the monthly MACD remains bearish. The Bollinger Bands and moving averages are bearish on the daily timeframe, contributing to the overall mildly bearish outlook. The KST shows a mildly bullish signal weekly, but the monthly remains bearish. The Dow Theory presents a mixed view with mildly bearish weekly and mildly bullish monthly signals. The OBV is mildly bullish on both weekly and monthly charts. In terms of performance, Thryv has underperformed the S&P 500 across multiple periods, with a year-to-date return of -15.47% compared to the S&P 500's 12.22%, and a one-year return of -31.86% versus 17.14% for the index....
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Corporate Actions 
Quality key factors 
Valuation key factors
Technicals key factors
Shareholding Snapshot : Mar 2025
Shareholding Compare (%holding) 
Domestic Funds
Held in 62 Schemes (55.0%)
Held by 72 Foreign Institutions (5.43%)
Quarterly Results Snapshot (Consolidated) - Jun'25 - QoQ
QoQ Growth in quarter ended Jun 2025 is 16.04% vs -2.79% in Mar 2025
QoQ Growth in quarter ended Jun 2025 is 244.79% vs -221.52% in Mar 2025
Annual Results Snapshot (Consolidated) - Dec'24
YoY Growth in year ended Dec 2024 is -10.12% vs -23.74% in Dec 2023
YoY Growth in year ended Dec 2024 is 71.38% vs -577.53% in Dec 2023






