Atlassian Corporation Class A Common Stock logo

Atlassian Corporation Class A Common Stock (TEAM)

Common Stock · Currency in USD · XNAS

Atlassian produces software that helps teams work together more efficiently and effectively. The company provides project planning and management software, collaboration tools, and IT help desk solutions. The company operates in four segments: subscriptions (term licenses and cloud agreements), maintenance (annual maintenance contracts that provide support and periodic updates and are generally attached to perpetual license sales), perpetual license (upfront sale for indefinite usage of the software), and other (training, strategic consulting, and revenue from the Atlassian Marketplace app store). Atlassian was founded in 2002 and is headquartered in Sydney.

Company Info

SIC7372
Composite FIGIBBG01BGWHFR5
CIK0001650372
IPODec 10, 2015
Sectorservices-prepackaged software

Highlights

Market Cap$18.01B
EPS-$0.64
P/E Ratio-105.59
Revenue$6.04B
Gross Profit$5.39B
Net Income-$170.58M
Employees13,813
WSO263,744,074
Phone(415) 701-1110

Related Tickers

Analysis

Share Price Chart

Performance Chart

The chart shows the growth of an initial investment of $10,000 in Atlassian Corporation Class A Common Stock, comparing it to the performance of the S&P 500 index.
All prices have been adjusted for splits and dividends.

Returns By Period

Atlassian Corporation Class A Common Stock (TEAM) has returned -57.88% so far this year and -61.29% over the past 12 months. Looking at the last ten years, TEAM has achieved an annualized return of 11.13%, underperforming the Benchmark (SPY), which averaged 12.23% per year.

TEAM

1M-12.18%
6M-55.00%
YTD-57.88%
1Y-61.29%
5Y-21.22%
10Y11.13%

Benchmark (SPY)

1M-3.85%
6M-2.35%
YTD-4.36%
1Y34.06%
5Y9.80%
10Y12.23%

Monthly Returns

The table below presents the monthly returns of Atlassian Corporation Class A Common Stock (TEAM) with color gradation from worst to best to easily spot seasonal factors.

JanFebMarAprMayJunJulAugSepOctNovDec
2026-27.11%-36.24%-6.39%-0.04%
202525.46%-4.96%-25.46%8.12%-13.37%-1.89%-5.83%-6.43%-8.59%5.72%-12.04%9.53%
20246.28%-18.18%-5.93%-11.73%-9.52%11.62%-0.18%-6.30%-2.72%15.51%16.91%-7.46%
202322.52%1.63%3.70%-12.79%23.73%-3.65%8.19%14.24%-0.93%-10.49%5.67%25.02%
2022-14.74%-5.88%-4.60%-24.31%-20.98%3.48%11.11%19.16%-13.34%-5.51%-37.32%-2.57%
2021-1.44%2.81%-13.08%9.98%-1.90%10.01%26.89%13.22%6.06%16.57%-17.33%-0.63%
202021.34%-1.32%-6.99%16.94%23.53%-2.04%-2.40%8.74%-5.62%4.58%17.45%3.48%
201914.66%9.44%3.85%-3.40%14.20%3.64%5.20%-3.92%-5.63%-3.58%4.88%-5.06%
201817.52%1.53%-1.19%4.56%14.73%-2.39%16.73%24.15%6.59%-21.89%12.09%-0.02%
201713.61%3.16%4.25%15.51%6.27%-1.90%1.62%-0.61%-1.07%38.20%-3.20%-2.71%
2016-6.76%-3.34%15.37%16.71%-1.70%2.29%-9.87%1.34%-10.91%

Performance Indicators

The charts below present risk-adjusted performance metrics for Atlassian Corporation Class A Common Stock (TEAM) and compare them to a Benchmark (SPY). These indicators evaluate an investment's returns against its associated risks.

Sharpe ratio

-2.00-1.000.001.002.003.00TEAM: -1.91SPY: 0.92

Sortino ratio

-6.00-4.00-2.000.002.004.00TEAM: -2.42SPY: 1.40

Omega ratio

0.501.001.502.00TEAM: 0.72SPY: 1.22

Calmar ratio

0.002.004.006.00TEAM: -0.93SPY: 1.20

Martin ratio

0.001.003.00TEAM: -0.18SPY: 0.42

The Sharpe ratio helps investors understand how much return they're getting for the level of risk taken. A higher Sharpe ratio indicates better risk-adjusted performance, meaning more reward for each unit of risk.

These values reflect how efficiently the investment has delivered returns relative to its volatility over different time periods. All figures are annualized and based on daily total returns.

The chart below shows the rolling Sharpe ratio of TEAM compared to the benchmark. This view highlights how the investment's risk-adjusted performance has changed over time.

Volatility Chart

The current Atlassian Corporation Class A Common Stock volatility is 3.35%, representing the standart deviation of percentage change in the investments's value, either up or down over the past month. The chart below shows the rolling one-month volatility.

Drawdowns Chart

The Drawdowns chart displays portfolio losses from any high point along the way. It shows the maximum percentage drop from a peak to a trough over a specified period, indicating the risk of significant losses.
Although chart shows positive values, it represents the percentage drop from the peak, so a value of 10% means the portfolio has dropped 10% from its highest point.

Income Statement

The income statement provides a summary of a company's revenues, expenses, and profits over a specific period. It shows how much money the company earned (revenues) and how much it spent (expenses), leading to the net income or profit. This statement is crucial for understanding a company's financial performance and profitability.

202520242023
Liabilities And Equity (USD)6.04B5.21B4.11B
Equity Attributable To Parent (USD)1.35B1.03B654.67M
Equity Attributable To Noncontrolling Interest (USD)---
Equity (USD)1.35B1.03B654.67M
Noncurrent Liabilities (USD)1.52B1.57B1.42B
Other Current Liabilities (USD)2.96B2.43B1.87B
Accounts Payable (USD)222.09M177.55M159.29M
Current Liabilities (USD)3.18B2.61B2.03B
Liabilities (USD)4.70B4.18B3.45B
Other Non-current Assets (USD)1.80B1.75B1.22B
Intangible Assets (USD)244.84M299.06M69.07M
Fixed Assets (USD)105.12M86.32M81.40M
Noncurrent Assets (USD)2.15B2.14B1.37B
Current Assets (USD)3.89B3.08B2.74B
Assets (USD)6.04B5.21B4.11B

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