★
CRSR
Corsair Gaming Inc · Technology
FCF$45mC-
Rev+0.4%C
D/E0.19A-
P/E91.3xD
PEG204.60D
61Score
$9.821Y Target$11.29Near-term target
5Y Target$15.82Compound horizon
10Y Target$23.25Long-dated conviction
FCF$45mTTM · 03/26C-
FCF $45m — barely positive; fragile cash position · TTM computed from 4 most-recent quarters (TTM · 03/26).
Rev+0.4%TTM YoYC
Revenue +0.4% — flat, mature phase or headwinds present · TTM YoY from trailing-4-quarter revenue sum vs prior 4 quarters.
D/E0.19totalA-
D/E 0.19 — conservative leverage, strong balance sheet · Total D/E computed from balance sheet (short-term + long-term debt + lease obligations) ÷ stockholders equity. More accurate than native field, which often uses long-term debt only.
P/E91.3xD
P/E 91.3 — extreme multiple; extraordinary growth required
PEG204.60proxyD
PEG 204.60 — very expensive; pricing in best-case scenarios · PEG proxy: P/E ÷ revenue growth % (true PEG requires forward EPS estimates, not in Finnhub free tier).
Why now
Technology · market cap $865m. 5% off the 52-week high of $10.29.
Moat
Moat signals from the quantitative card are modest — profitability and capital efficiency are middle-of-pack. The thesis here depends on softer factors (switching costs, brand, distribution, regulatory protection) not captured by the 7-grade screen.
Risk
Trailing P/E 91.3x prices in sustained high growth — any quarter that disappoints triggers sharp re-rating. Beta 1.66 implies above-market volatility — position-size to the drawdowns this name will produce in a market correction, not to its bull-case return. Net margin 0.7% is thin — operating leverage cuts both ways; input-cost inflation or pricing pressure hits the bottom line first.
Horizon
1-3 yr $11.29 (structural (no analyst coverage)) — fundamentals + valuation re-rating. 5 yr $15.82 at ~10% CAGR — compounding case rests on the competitive position widening. 10 yr $23.25 if current growth sustains into durable earnings power.
Not investment advice. The Bull Rankings publishes a quantitative ranking model and accompanying analysis for general informational purposes only. Nothing on this page is a recommendation to buy, sell, or hold any security; nothing is personalized to your circumstances, risk tolerance, or tax situation. Investing carries the risk of loss — invest at your own risk and consider consulting a licensed financial professional before acting on anything you read here. See terms and methodology for full disclosures.
Position sizing · CRSR
Shares to buy
203
Position size
$1,993
4.0% of portfolio
Stop price
$7.37
25% below $9.82
$ at risk
$500.00
1% of portfolio
Math only — share count is floor(portfolio × risk% ÷ (price × stop%)). Doesn't account for commissions, slippage, gap risk, or position-correlation across your book. Inputs persist locally; never sent to the server. Not investment advice.