COMPANY SUMMARY
Tradeweb Markets Inc. builds and operates electronic marketplaces in the United States and internationally. The company offers marketplaces that facilitate trading products across various asset classes, including rates, credit, equities, and money markets. It also provides pre-trade data and analytics, such as AI-Price, SNAP+, iNAV for ETFs, integrations, and LSEG market data; and trade execution comprising request-for-quote, request-for-market, request-for-stream, list trading, compression, blast all-to-all, click-to-trade, portfolio trading, session-based, central limit order book, bilateral firm streams, inventory-based, rematch, voice, futures vs. cash spreading, and dealer algorithmic suite. In addition, the company offers trade processing; and post-trade data, analytics, and reporting, which include transaction cost analysis, benchmark prices, and APA. It serves institutional, wholesale, retail, and corporate clients, such as asset managers, hedge funds, insurance companies, central banks, banks and dealers, proprietary trading firms, retail brokerage and financial advisory firms, regional dealers, and corporations. The company was founded in 1996 and is headquartered in New York, New York. Tradeweb Markets Inc. is a subsidiary of Refinitiv Parent Limited.
Financial Summary
| Share Statistics |
TW |
Industry Median |
Percentile (All Stocks) |
| Market Cap (Mil) |
$21,202.6 |
$2,836.7 |
86% |
|
| Shares Out (Mil) |
212.8 |
74.1 |
78% |
|
| Institutional Ownership |
99.8% |
79.1% |
94% |
|
| Float (Mil) |
113.7 |
69.7 |
64% |
|
| Beta |
0.62 |
0.94 |
36% |
|
| Avg Daily Volume (000s) |
1,962 |
445 |
82% |
|
Price Change (52-week) |
(31.2%) |
72.7% |
24% |
|
| Growth |
TW |
Industry Median |
Percentile (All Stocks) |
| Sales (5yr) |
18.1% |
7.7% |
78% |
|
| Net Income (5yr) |
37.3% |
8.9% |
89% |
|
| EPS (5yr) |
33.8% |
9.6% |
84 |
|
| Dividends (5yr) |
8.4% |
1.3% |
69% |
|
| Cash Flow (5yr) |
13.8% |
0.9% |
72% |
|
| Estimates |
Qtrly |
Current Fiscal Year |
Next Fiscal Year |
| # of Estimates |
12 |
13 |
14 |
| Current EPS |
$0.998 |
$4.053 |
$4.608 |
| Month Ago EPS |
$0.999 |
$4.078 |
$4.603 |
| # Rev Up |
1 |
0 |
1 |
| # Rev Down |
0 |
0 |
0 |
| Three Months Ago EPS |
$0.989 |
$4.043 |
$4.564 |
| Year/Year Chg |
17.4% |
7.2% |
37.8% |
| Financials |
TW |
Industry Median |
Percentile (All Stocks) |
| Sales (TTM) (Mil) |
$2,204 |
$871 |
62% |
|
| Net Income (TTM) (Mil) |
$897 |
$85 |
85% |
|
| EPS (TTM) |
$4.212 |
$1.000 |
84% |
|
| Operating Cash Flow (TTM) (Mil) |
$1,196 |
$64 |
83% |
|
| Net Cash Flow (TTM) (Mil) |
$428 |
$25 |
90% |
|
| Long-Term Debt (Q1) (Mil) |
$138 |
$209 |
47% |
|
| Enterprise Value (Q1) (Mil) |
na |
$1,297 |
na |
|
| Valuation |
TW |
Industry Median |
Percentile (All Stocks) |
| P/B |
3.20 |
2.69 |
67% |
|
| P/E |
24.0 |
19.1 |
59% |
|
| Dividend Yield |
0.6% |
0.9% |
63% |
|
| PEG (5yr hist) |
0.7 |
1.4 |
34% |
|
| Ratios |
TW |
Industry Median |
Percentile (All Stocks) |
| Gross Margin |
93.2% |
75.0% |
95% |
|
| Net Margin |
40.7% |
15.8% |
95% |
|
| ROA |
11.0% |
2.1% |
89% |
|
| ROE |
14.1% |
13.4% |
69% |
|
| Liabilities to Assets |
11.1% |
59.1% |
6% |
|
| F-Score |
8 |
5 |
94% |
|
Passing Stock Screens
As of 7/31/2026, from a list of 60 stock screening strategies,
TW meetings the criteria of 2 screen:
Stock Screen
GURU STRATEGY
Weiss Blue Chip Div Yield Screen
Factors: Yield, Value, Quality
A conservative, blue-chip investment style with a value approach that emphasizes selecting stocks with favorable dividend yields.
GURU STRATEGY
Templeton Screen
Factors: Value, Growth
Favorable margins, consistent earnings growth and price-earnings ratios below historical norms.