Stock analysis, trade plans, and proprietary indicators by Trend Edge.
About Cimpress NV
Cimpress plc provides various mass customization of printing and related products in North America, Europe, and internationally. It operates through five segments: Vista, PrintBrothers, The Print Group, National Pen, and All Other Businesses. The company offers printed and digital marketing products; canvas-print wall décor products, business signage, and other large-format printed products; business cards; and marketing materials, such as flyers… Read full Trend Edge analysis →
Sector: Industrials
Industry: Specialty Business Services
Exchange: NASDAQ
IPO Date: September 30, 2005
Headquarters: First Floor Building 3, Dundalk, Ireland, A91 XR61
Hidden Gem: Yes — undiscovered relative to its market cap tier
Founder-Led: Yes — Robert Keane (Founder, Chairman & CEO)
Key Metrics
Current Price
$104.06
Market Cap
$2.31B
Float
13.7M
Shares Outstanding
24.2M
P/E (Forward)
21.46
P/E (TTM)
52.01
Price/Sales (TTM)
0.63
vs. Analyst Target
+7.1% to analyst PT
Profit Margin
1.24%
Operating Margin (TTM)
5.87%
Revenue (TTM)
$3.66B
Earnings Growth (YoY)
-17.40%
Dividend Rate
None
Analyst Target Price
$111.50 (2 analysts)
Financial History
Annual Revenue & Earnings History
Year
Revenue
Net Income
Gross Profit
EBITDA
2020
$2.48B
$83.4M
$1.23B
$247M
2021
$2.58B
-$85.2M
$1.28B
$229M
2022
$2.89B
-$54.3M
$1.39B
$284M
2023
$3.08B
-$186M
$1.44B
$245M
2024
$3.29B
$174M
$1.60B
$400M
2025
$3.40B
$15.0M
$1.62B
$353M
Recent Quarterly Revenue & Net Income
Quarter
Revenue
Net Income
Jun 2025
$869M
-$25.3M
Sep 2025
$863M
$7.6M
Dec 2025
$1.04B
$49.3M
Mar 2026
$886M
$13.8M
Ownership & Float
Insider Ownership
16.7%
Institutional Ownership
90.3%
Short Float
14.6%
% of All Funds Holding
2.00%
Number of Funds Holding
164
Current Moving Averages
Trend Edge tracks near-term, medium-term, cyclical, and secular moving averages across weekly and monthly timeframes to identify trend structure at every horizon.
Timeframe
SMA
Value
Trend Context
Weekly
10-Week SMA
$87.22
Near-term / short-term trend
Weekly
40-Week SMA
$73.71
Medium-term trend
Weekly
80-Week SMA
$64.22
Cyclical trend (business cycle)
Weekly
200-Week SMA
$62.91
Secular trend (multi-year)
Monthly
10-Month SMA
$74.85
Near-term monthly trend
Monthly
20-Month SMA
$65.89
Medium-term monthly trend
Monthly
40-Month SMA
$68.99
Secular monthly trend
Volume Shelves — Support & Resistance
Trend Edge identifies volume shelves: price zones where historically elevated trading volume
creates structural support or resistance. A volume shelf forms when a disproportionate share of cumulative
volume was transacted at a specific price level, making it a high-conviction anchor for future price reactions.
Price Level
Type
Volume Ratio
Age
$90.00
support
1.08x
0 months ago
$55.00
support
1.02x
8 months ago
$47.00
support
1.53x
9 months ago
$39.30
support
1.20x
11 months ago
Historical Earnings Reactions (83 events)
Timeframe
Avg Return
Median
Win Rate
Best
Worst
Gap
-0.55%
-0.12%
49.40%
34.09%
-37.85%
1 Day
0.39%
1.08%
53.01%
34.34%
-37.03%
1 Week
0.98%
0.86%
54.22%
47.04%
-33.94%
2 Weeks
1.62%
2.89%
59.04%
43.83%
-44.67%
1 Month
1.91%
3.30%
57.32%
43.71%
-40.05%
Next earnings: July 29, 2026 (62 days away)
Seasonality & Day-of-Week Patterns
Monthly Seasonality
Month
Avg Return
Win Rate
Samples
Jan
4.5%
52.4%
21
Feb
2.5%
57.1%
21
Mar
-1.2%
52.4%
21
Apr
2.0%
38.1%
21
May
0.9%
45.0%
20
Jun
0.5%
60.0%
20
Jul
-1.6%
55.0%
20
Aug
3.2%
60.0%
20
Sep
1.9%
55.0%
20
Oct
1.0%
57.1%
21
Nov
5.2%
61.9%
21
Dec
0.8%
33.3%
21
Day-of-Week Tendencies
Day
Avg Return
Win Rate
Samples
Monday
0.11%
52.3%
973
Tuesday
0.12%
50.8%
1066
Wednesday
0.11%
51.3%
1066
Thursday
0.05%
52.2%
1045
Friday
0.06%
51.2%
1042
Top Institutional Holders
Institutional holder breakdown coming soon.
Total institutional ownership: 90.3%
Insider Transactions — Smart Summary
Total insider ownership: 16.7%
Founder-led management: Robert Keane (Founder, Chairman & CEO)
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The analysis covers five layers:
technical analysis (near-term, medium-term, cyclical, and secular trend, momentum,
volume shelf support and resistance, breakout and breakdown signals),
qualitative analysis (business model, competitive moat, sector dynamics),
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share stats analysis (institutional accumulation, fund positioning, short float squeeze potential), and
fundamental analysis (valuation, revenue growth, profit margin, earnings quality).
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