Companies

Strive, Inc.

ASST, SATA · CIK 0001920406 · operating

$8.64+8.82%Last updated Mar 2, 8:13 PM

Key Statistics

Valuation

Market Cap$545.37M
P/E
Fwd P/E-14.42
PEG
P/S98.94
P/B0.37
EV/EBITDA-3.61
EV/Rev39.60

Profitability

Gross Margin
Op. Margin-1010.91%
Net Margin-1009.32%
ROE-229.46%
ROA-198.73%
FCF Margin-775.64%

Financial Health

Current Ratio6.26
Debt/Equity0.15
Free Cash Flow-$4.91M
Div. Yield

Growth & Other

Revenue Growth128.67%
EPS Growth-372.22%
Beta
52W High$268.4
52W Low$7.02

About Strive, Inc.

# Strive, Inc. (ASST)

Based in Dallas, Texas, Strive Asset Management operates as an investment adviser focused on exchange-traded fund (ETF) management and portfolio advisory services. The firm provides asset management services primarily to investment companies, leveraging in-house research capabilities to inform investment decisions and fund construction. Strive was founded in 2022 and operates as a subsidiary of publicly traded Strive, Inc., which trades on the Nasdaq under ticker ASST.

The company's business model centers on advisory relationships with investment companies seeking portfolio management and ETF-related services. Revenue is generated through advisory fees charged to clients utilizing Strive's investment management expertise and research infrastructure. The firm's operations span investment research, fund management, and client advisory functions, though specific segment breakdowns and employee headcount details are not publicly disclosed. Geographic operations are primarily concentrated in the United States, with headquarters in Dallas serving as the central base of operations.

Earnings Per Share (Annual · SEC XBRL)

Fiscal years are as reported by the company and may not align with the calendar year. For example, Apple's FY 2024 ends in September 2024.

Fiscal YearEPS DilutedEPS BasicYoY
2024$-1.70$-1.70-372.2%
2023$-0.36$-0.36-500.0%
2022$-0.06$-0.06

Annual Reports (10-K) · 3 filings

Report DateFiledAccession Number
2024-12-312025-03-310001213900-25-026431SEC ↗
2023-12-312024-04-020001213900-24-029033SEC ↗
2022-12-312023-03-310001213900-23-025411SEC ↗