Services-Business Services, NEC · SIC 7389

COMSCORE, INC.

SCOR

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Latest revenue

$85.3M

as of 2026-03-31

Latest net income

$-6.2M

as of 2026-03-31

Net margin

-7.3%

as of 2026-03-31

Price · 5Y

-39.7% / yr 53.5 pts / yr vs S&P 500 92.0% total
Compare:

Live market

delayed ≤15 min
$6.41
2.58%
Market cap
$96.8M
Enterprise value
$96.8M
P/E (trailing)
Forward P/E
P/B
Dividend yield
0.0%
52-wk high
$10.18
52-wk low
$4.39
Beta
Shares out
15.1M

5-year trend

What this company does

AI

ITEM 1.BUSINESS Unless the context requires otherwise, references in this 10-K to "Comscore," "we," "us," the "Company" and "our" refer to comScore, Inc. and its consolidated subsidiaries. This 10-K contains trademarks and trade names of our company and our subsidiaries. We maintain trademark protection for our products and services. All trademarks and trade names appearing in this 10-K are the property of their respective holders. Overview We are a global information and analytics company that measures advertising, content, and the consumer audiences of each, across media platforms. We create our products using a global data platform that combines information on digital platforms…

AI summary unavailable — showing raw filing excerpt

Generated from SCOR's filing dated 2026-03-26

Key risks

AI

Table of Contents ITEM 1A.RISK FACTORS An investment in our Common Stock involves a substantial risk of loss. You should carefully consider the following risk factors, together with all of the other information included in this 10-K, before you decide whether to invest in our stock. The risks identified below could materially and adversely affect our business, financial condition and operating results. In that case, the trading price of our Common Stock could decline, and you could lose part or all of your investment. The risks described below are not the only risks we face. Additional risks and uncertainties not currently known to us or that we currently deem to be immaterial also may…

AI summary unavailable — showing raw filing excerpt

Generated from SCOR's filing dated 2026-03-26

Profitability

Operating margin

1.3%

107.5%

Net margin

-2.8%

83.5%

Return on equity

-9.0%

101.2%

Return on assets

-2.5%

82.5%

Leverage

Debt / equity

2.66×

105.0%

Long-term debt / equity

0.35×

107.2%

Debt / assets

72.7%

28.7%

Earnings tracker

QuarterRevenueYoYNet incomeYoYNet margin

Q1 2026

2026-03-31

$85.3M-0.5%$-6.2M-56.5%-7.3%

Q4 2025

2025-12-31

$93.5M-1.5%$3.0M-3.7%3.2%

Q3 2025

2025-09-30

$88.9M+0.5%$453.0K+100.7%0.5%

Q2 2025

2025-06-30

$89.4M+4.1%$-9.5M-455.7%-10.6%

Q1 2025

2025-03-31

$85.7M-1.3%$-4.0M-278.8%-4.7%

Q4 2024

2024-12-31

$94.9M$3.1M3.3%

Q3 2024

2024-09-30

$88.5M-2.8%$-60.6M-2415.9%-68.5%

Q2 2024

2024-06-30

$85.8M-8.4%$-1.7M+96.2%-2.0%

Year-over-year change vs the same fiscal quarter one year prior. Revenue + net income sourced from SEC 10-Q / 10-K filings — no analyst-consensus dependency.

Industry trend

Services-Business Services, NEC · SIC 7389

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Insider activity

Insider buying

$0

Insider selling

$121.9K

Net activity

−$121.9K

Distinct insiders

1

Open-market trades over the last 365 days.

Recent transactions

DateInsiderTypeSharesPriceValue
2025-11-14

William Paul Livek

Director

Sale9,900$6.55$64.8K
2025-11-12

William Paul Livek

Director

Sale1,934$6.85$13.2K
2025-11-12

William Paul Livek

Director

Sale68$6.99$475
2025-11-11

William Paul Livek

Director

Sale835$7.08$5.9K
2025-11-11

William Paul Livek

Director

Sale2,900$7.13$20.7K
2025-11-10

William Paul Livek

Director

Sale2,206$7.57$16.7K

Source: SEC Form 4 filings. Officers, directors, and 10%+ owners must disclose share transactions within two business days. RSU grants and tax-withholding rows are excluded by default — compensation activity is not a trading signal.

Who owns SCOR

Institutional value

$2.7M

Total shares held

488.7K

Distinct holders

15

-10 vs prior

As of

2026-03-31

Prior: 2025-12-31

Filers with $100M+ AUM disclose holdings 45 days after quarter end.

Top institutional holders

#ManagerSharesValueQoQ changeAction
1VANGUARD CAPITAL MANAGEMENT LLC187.3K$1.3MNew
2CLUNE & ASSOCIATES, LTD.126.7K$879.0K+0 (+0.0%)No change
3BlackRock, Inc.39.0K$270.5K+0 (+0.0%)No change
4VANGUARD FIDUCIARY TRUST CO19.1K$132.4KNew
5Byrne Asset Management LLC18.7K$129.6K-1.4K (-7.1%)Trimmed
6Vanguard Global Advisers, LLC1.6K$11.0KNew
7UBS Group AG1.2K$8.0K+724 (+166.4%)Added
8PNC Financial Services Group, Inc.638$4.4K-1.0K (-61.1%)Trimmed
9Activest Wealth Management100$694+0 (+0.0%)No change
10ACADIAN ASSET MANAGEMENT LLC84.1K$582+0 (+0.0%)No change
11RHUMBLINE ADVISERS65$451+0 (+0.0%)No change
12BNP PARIBAS FINANCIAL MARKETS35$243+25 (+250.0%)Added
13Covestor Ltd10.4K$72+0 (+0.0%)No change
14WELLS FARGO & COMPANY/MN10$69+0 (+0.0%)No change
15SBI Securities Co., Ltd.1$7+0 (+0.0%)No change

Source: SEC Form 13F-HR. Positions aggregated across sub-managers within each firm. Options (puts/calls) excluded — common stock only.

Top questions investors are asking

Coming once SCOR's latest filing finishes processing.