SCOR Stock Analysis: Buy, Sell, or Hold?

SCOR - comScore, Inc. Common Stock

SERVICES-BUSINESS SERVICES, NEC
$6.85
-0.04 (-0.58%) ▼
5d: -4.46%
30d: +6.86%
90d: -4.99%
BUY
MODERATE Confidence
Analysis Updated: Jun 24, 2026 12:00 AM ET
Earnings: Aug 04, 2026

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Interactive Price Chart (1 Month)

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💡
Bottom Line:
💡 BUY OPPORTUNITY: SCOR shows positive signals but monitor for confirmation. Market pricing in 49.7% growth. Moderate conviction.
See Forward Earnings Fair Value & Price Prediction →

Long-Term Wealth Forecast (2031)

Based on Analyst Consensus Growth & Historical Valuation

0% (Stagnation) 50% (Hyper Growth)
EST. PRICE IN 2031
$4.09
Based on 14.5% avg growth
INTRINSIC VALUE TODAY
$2.54
Trading above historical range

How this is calculated: We use a Growth Decay Model: starting with analyst consensus growth (adjusted above) and gradually slowing it down to a long-term terminal rate (4%) by Year 5. This provides a more realistic valuation than assuming constant hyper-growth. We then apply a 2.0x Exit PE.

In-depth Analysis How we analyze

Valuation Analysis: SCOR is currently trading at $6.85, which is considered slightly low relative to its 30-day fair value range of $6.72 to $7.98. From a valuation perspective, the stock is trading at a premium (Forward PE: 6.6) compared to its historical average (2.0). At these levels, the market is pricing in 49.7% annual earnings growth. This is a high bar to clear, indicating the stock may be priced for perfection.

Technical Outlook: Technically, SCOR is in a downtrend. The price is currently testing key support at $6.66. A bounce from this level would confirm strength, while a break below could signal further downside.

Market Sentiment: The stock shows a mixed technical setup (40/100), with neutral trendline and momentum signals. Wall Street analysts see significant upside, with an average price target of $10.00 (+45.1%). Combining these factors, the current setup offers a favorable risk/reward ratio for buyers.

Quick Decision Summary

Current Position SLIGHTLY LOW
Historical Trading Range $6.72 - $7.98
Company Quality Score 50/100 (HOLD)
Volume Confirmation HIGH
Confidence Score 74.8%

All Signals

  • BULLISH: Price oversold vs 30-day range
  • NEUTRAL: Mixed technical signals (40/100)
  • BULLISH: High volume confirmation
  • BULLISH: Trading 45.1% below Wall St target ($10.00)
  • BEARISH: Market expects 49.7% growth - appears too optimistic based on history

Trading Range Analysis

30-Day Trading Range $6.72 - $7.98
Current vs Trading Range SLIGHTLY LOW

Support & Resistance Levels

Support Level $6.66
Resistance Level $9.10
Current Trend Downtrend
Technical data as of Jun 9, 2026

Fundamental Context

Forward P/E (Next Year Est.) 6.56
Wall Street Target $10.00 (+45.1%)
Revenue Growth (YoY) -0.5%
Profit Margin -3.4%
Valuation Premium vs History +49.7% premium
PE vs Historical 6.6 vs 2.0 STRETCHED
Market-Implied Price Targets If current PE multiple persists
Implied Growth (YoY): +49.7% (market-implied from PE analysis)
1-Year Target $10.31 (+50%)
2-Year Target $15.44 (+124%)
3-Year Target $23.11 (+236%)
3-Yr Target (if PE normalizes) (PE: 7→2) PE COMPRESSION $7.05 (+2%)
Earnings growth offset by PE compression
3-Year Scenarios Using analyst projected EPS growth
Bull: (PE: 21.8, Growth: 128.3%) $77.18 (+1020%)
Base: (SPY PE: 6.6, Growth: 128.3%) $23.25 (+238%)
Bear: (PE: 2.0, Growth: 128.3%) $7.09 (+3%)
📈 Valuation based on Current Earnings
Trailing PE: 1.29 | Current EPS (TTM): $5.50
Bull Case $3.90 (-43%)
Analyst growth -50.0%, PE expands to 1.4
Base Case $3.55 (-49%)
Market implied -50.0%, PE stable at 1.3
Bear Case $4.83 (-30%)
Severe decline -20.0%, PE contracts to 1.1
These are projections based on PE multiples and EPS growth scenarios, not predictions. Actual results may vary significantly.
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Last updated: June 24, 2026 2:16 PM ET
Data refreshes hourly during market hours. Next update: 3:16 PM
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Insider Activity (6 Months)
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NEUTRAL

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