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amplitude stock: Amplitude, Inc. (NASDAQ: AMPL)

amplitude stock: Amplitude, Inc. (NASDAQ: AMPL)

A comprehensive, beginner‑friendly guide to amplitude stock (AMPL) — summarizing what the equity represents, how the company is structured, key financial and market metrics, ownership and risks, an...
2024-07-10 02:13:00
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Amplitude, Inc. (NASDAQ: AMPL) — Stock

This article is a detailed, investor‑oriented primer on amplitude stock (AMPL), Amplitude, Inc.’s Class A common stock listed on the Nasdaq. It explains what holding amplitude stock represents, the company’s business lines, listing structure, key market and financial metrics, regulatory disclosures, and practical trading considerations. Readers will learn where to find filings and live quotes (including on the Bitget platform) and how corporate events have historically moved the share price. The content is structured so beginners can follow, while providing enough detail for experienced market participants.

Note: the keyword "amplitude stock" appears throughout this guide to improve search relevance and to ensure clarity about the equity subject.

Summary

amplitude stock is Amplitude, Inc.’s publicly traded Class A common stock (ticker AMPL) on the Nasdaq, representing ownership in a San Francisco–based digital analytics and SaaS company that builds product analytics, experimentation, and customer data tools. As of 2026‑01‑27, per Amplitude investor relations and the company’s most recent SEC filings, amplitude stock has traded in a price band reflecting the company’s growth‑stage SaaS profile; recent trading has shown material intraday and post‑earnings volatility common to software equities. The company’s core business is a digital analytics platform and related SaaS products that help product and growth teams analyze user behavior, run experiments, and personalize experiences.

Disambiguation

This article covers Amplitude, Inc. (NASDAQ: AMPL), the publicly traded software company. It does not cover the unrelated cryptocurrency token AMPL (Ampleforth). If you searched for the Ampleforth token, please look for dedicated resources on that token — for equity investors, this page focuses only on amplitude stock.

Company background

Amplitude, Inc. was founded to address the need for product analytics that allow digital teams to understand user behavior and optimize product experiences. Founders developed a platform that captures event‑level product interaction data and layers analytics, experimentation, and personalization on top.

  • Founding and headquarters: Amplitude was founded by product and engineering practitioners and is headquartered in San Francisco, California. The company’s business model centers on software subscriptions and usage‑based services.
  • Core product lines: Amplitude Analytics (product analytics and behavioral reporting), Experimentation (A/B testing and feature flags), Customer Data Platform (CDP) functionality, Session Replay and behavioral diagnostics, and integrations with cloud and product engineering workflows. Together these products form a suite aimed at product managers, data analysts, growth teams, and engineering groups who need to measure, experiment and act on user behavior data.

This product‑first positioning informs how amplitude stock is evaluated by growth investors: emphasis is on ARR expansion, net retention, gross margins, and feature adoption.

Listing and stock structure

Ticker and exchange

  • Ticker symbol: AMPL
  • Exchange: Nasdaq Stock Market

amplitude stock trades under the symbol AMPL on Nasdaq and is quoted in U.S. dollars on regular market hours and in extended pre‑market and after‑hours sessions.

Share classes and outstanding shares

  • Share‑class structure: Amplitude’s public equity is issued primarily as Class A common stock, which is the trading class available to public investors. The company has maintained a dual‑class structure for governance (Class B or other classes may carry higher voting rights and be held by founders and certain insiders).
  • Shares outstanding and public float: As of the company’s most recent periodic filing, the company reported total shares outstanding and a public float consistent with a growth‑stage public SaaS company. Investors should consult the most recent Form 10‑Q or Form 10‑K for precise, up‑to‑date counts. As of 2026‑01‑27, per Amplitude’s filings and public investor materials, the company’s outstanding share count and public float are reported in the latest SEC filing — check the investor relations and EDGAR pages for the exact figure.

ISIN / CUSIP and trading identifiers

  • Institutional identifiers: Standard international and institutional identifiers (such as ISIN and CUSIP) are assigned to AMPL for cross‑border settlement and institutional trading. These identifiers are published in the company’s SEC filings and by market data providers. For specific ISIN/CUSIP codes, consult the company’s transfer agent information in filings or the investor relations page.

Market data and trading characteristics

Price history and performance

amplitude stock historically showed the pattern typical of newly public and growth‑stage SaaS companies: a concentration of volatility around the IPO, a period of multiple expansion as investors valued subscription growth, and episodic drawdowns aligned with macro selloffs or company guidance misses. Notable patterns:

  • IPO and immediate post‑IPO trading: Amplitude’s initial public trading period experienced standard price discovery volatility as the market digested public financials.
  • Earnings and guidance sensitivity: The stock has historically reacted to quarterly revenue and guidance updates, with outsized moves on unexpected results or material revisions to ARR growth expectations.
  • 52‑week range: The exact 52‑week high and low shift over time; check live market quotes to see the current band. amplitude stock has displayed a wide 52‑week spread at times, reflecting market sentiment swings for mid‑cap SaaS stocks.

These behaviors mean amplitude stock can have substantial intraday volatility and is sensitive to sentiment and macro risk‑on/risk‑off flows.

Market cap, volume and liquidity

  • Market capitalization band: As a public SaaS company, Amplitude’s market capitalization places it in a small‑to‑mid cap category among U.S. software equities. For current market cap and real‑time value, consult Bitget’s market pages or institutional market data; filings provide market cap snapshots as of reporting dates.
  • Average daily trading volume: Average daily volume varies over time and typically increases around earnings and corporate events. Traders should check the 30‑day and 90‑day average volumes on their market data platform to assess liquidity.
  • Liquidity indicators: Amplitude’s liquidity is generally sufficient for retail and institutional participation in normal market conditions, but liquidity can thin in after‑hours trading or during sharp market moves.

Options, after‑hours trading and short interest

  • Options: amplitude stock may have listed options on certain derivatives exchanges; whether liquid options chains exist depends on market demand. Options availability should be verified in your brokerage or on Bitget derivatives pages where available.
  • After‑hours trading: AMPL quotes can move in pre‑market and after‑hours sessions, particularly around earnings releases or major announcements.
  • Short interest: Short interest in amplitude stock can be material at times, reflecting bearish views on growth, profitability or valuation; check the most recent short‑interest reports for up‑to‑date figures.

Financial performance and fundamentals

Revenue and profitability trends

Amplitude’s financial profile reflects a subscription and usage‑based SaaS model where revenue growth and margins are central:

  • Revenue trajectory: Historically, Amplitude targeted ARR growth through customer acquisition, product expansion (upsells to Analytics, Experimentation, CDP), and premium/enterprise features.
  • Gross margin profile: SaaS gross margins are typically high after accounting for hosting and data costs; Amplitude aims to maintain scalable gross margins as ARR grows.
  • Profitability: Like many growth SaaS companies, Amplitude has at times prioritized growth over GAAP profitability, investing in R&D, sales and marketing. Whether the company is GAAP profitable depends on the latest reporting period; consult the most recent 10‑Q/10‑K for trailing revenue and net income figures.

Key financial metrics

Investors tracking amplitude stock commonly watch these metrics:

  • Revenue and year‑over‑year (YoY) growth: core top‑line measure.
  • ARR (Annual Recurring Revenue): a forward‑looking metric showing subscription run‑rate.
  • Net Revenue Retention (NRR) / Dollar Retention Rate: measures revenue retention and expansion from existing customers — a high NRR indicates successful upselling and product value.
  • Gross margin: shows product economics after direct costs.
  • Operating margin and adjusted EBITDA: indicate path toward profitability.
  • EPS (GAAP and non‑GAAP): profitability per share; often negative for growth companies.
  • Churn metrics (logo churn, revenue churn): measure customer retention risk.
  • CAC (Customer Acquisition Cost) and LTV (Lifetime Value): unit economics used by growth investors.

Each metric helps investors assess growth sustainability, margin leverage, and capital efficiency for amplitude stock.

Quarterly earnings and guidance

  • Reporting cadence: Amplitude reports results quarterly and typically provides forward guidance for revenue and ARR on earnings calls. The company also hosts investor days or product briefings on an as‑needed basis.
  • Market reactions: Historically, amplitude stock has reacted to beats and misses on revenue, ARR, and guidance. Guidance shifts (upgrades or downgrades) can produce outsized moves due to the market’s forward‑looking nature.

As of 2026‑01‑27, per Amplitude investor relations and recent earnings releases, quarterly results and guidance remain primary drivers of amplitude stock volatility — check the latest earnings press release and investor presentation for exact numbers and management commentary.

Valuation and analyst coverage

Analyst ratings and price targets

  • Coverage: A set of equity research analysts typically cover amplitude stock, issuing Buy/Hold/Sell ratings and price targets.
  • Consensus tone: Analyst views vary based on assumptions about ARR growth, margin expansion, and competitive positioning. Price targets may reflect expected multiple compression or expansion.

Investors should consult the latest analyst consensus and the distribution of ratings to understand market sentiment and the range of expected valuations.

Valuation metrics

Analysts and investors commonly apply these valuation measures to amplitude stock:

  • Price‑to‑Sales (P/S): a common SaaS valuation multiple, especially for companies with limited GAAP profits.
  • Enterprise Value / Revenue (EV/Revenue): adjusts for cash and debt to compare companies across capital structures.
  • Forward Price‑to‑Earnings (forward P/E): used when projecting near‑term profitability; may be unavailable or high for loss‑making growth companies.
  • Rule‑of‑thumb ARR multiples: analysts sometimes express valuation in terms of x ARR.

Valuation comparisons are made to peer SaaS and analytics companies, taking into account growth rates and margins.

Ownership and institutional interest

Major shareholders and insider ownership

  • Institutional holders: amplitude stock is typically held by mutual funds, ETFs, and institutional managers that invest in software and growth equities. Major institutional holders are disclosed in the company’s proxy and can be found in 13F filings for U.S. institutional managers.
  • Insider ownership: founders and early employees often retain meaningful voting stakes through higher‑voting share classes. Insider holdings are reported in proxy statements and Forms 4 for insider transactions.

Institutional flows and shareholder trends

  • Buying/selling trends: large institutional inflows or outflows can influence amplitude stock liquidity and price. Block trades, secondary offerings, or large 13D/13G filings are events to monitor.
  • Notable filings: secondary share offerings by insiders or follow‑on equity raises are disclosed in SEC filings and can affect float and perceived valuation.

Corporate events and developments affecting the stock

IPO and capital markets history

  • IPO: Amplitude completed its initial public offering and began trading publicly on the Nasdaq under the ticker AMPL. The IPO and any significant subsequent secondary offerings or convertible issuances are summarized in SEC filings and the company’s investor relations materials.
  • Capital raises: post‑IPO capital markets activity (follow‑on equity, convertible notes, or debt) is disclosed in filings and can dilute shareholders or alter the company’s cash runway.

Recent acquisitions, partnerships and product launches

  • Acquisitions and partnerships: Amplitude has strategically expanded its product suite through acquisitions or partnerships that enhance analytics, experimentation, or data integrations. Material M&A is announced via press release and can affect investor perceptions of product roadmap and revenue synergies.
  • Product launches: Expanded capabilities in experimentation, CDP features, session replay, and integrations with cloud providers or data infrastructure vendors are typical product developments that can drive adoption and are highlighted in earnings calls.

As of 2026‑01‑27, per company press releases and investor updates, Amplitude continued to iterate on product features and make targeted acquisitions to support enterprise adoption and product expansion.

Management changes and governance actions

  • Executive changes: CEO, CFO, and other C‑suite or board changes are materially disclosed in press releases and SEC filings; such changes can move amplitude stock if investors view them as improving or jeopardizing execution.
  • Governance: Board appointments, equity compensation programs, and shareholder proposals are documented in proxy statements and can influence investor confidence.

Regulatory and filing information

SEC filings and investor relations

Investors should use these primary sources for authoritative information about amplitude stock:

  • Form 10‑K: annual audited financial statements and risk factors.
  • Form 10‑Q: quarterly financial updates and MD&A.
  • Form 8‑K: material corporate events or disclosures.
  • Proxy statements: insider compensation, governance matters, and shareholder votes.
  • Earnings releases and investor presentations: forward guidance and management commentary.

As of 2026‑01‑27, these filings are available on the SEC EDGAR system and the company’s investor relations site. For real‑time quotes, liquidity metrics, and trading, Bitget provides market pages and tools.

Legal or regulatory matters

  • Material litigation or investigations: any material legal proceedings or regulatory investigations that could affect amplitude stock are disclosed in Form 10‑K, 10‑Q, and 8‑K filings. Investors should read the risk‑factors and legal proceedings sections in filings for current disclosures.

If material legal events are disclosed, they are typically summarized in earnings releases and investor Q&As; absence of such disclosures in filings generally indicates no undisclosed material legal risks.

Risks and investment considerations

This section summarizes principal risks tied to amplitude stock based on company disclosures and industry norms. The following is factual and not investment advice.

Business and market risks

  • Competition: The digital analytics and SaaS market is competitive. New entrants, incumbent analytics vendors, and cloud providers can pressure pricing and feature differentiation.
  • Retention and churn: Customer churn or lower net revenue retention can materially affect ARR growth and revenue predictability.
  • Macro sensitivity: Software spending can be cyclical; macroeconomic slowdowns or corporate cost‑cutting can reduce new logo acquisition and expansion.
  • Execution risk: Failure to scale sales, product adoption, or successful enterprise deployments can impede growth.

Financial and market‑structure risks

  • Profitability: Continued operating losses or slower margin improvements can pressure amplitude stock multiples.
  • Dilution: Equity‑based compensation and future capital raises can dilute existing shareholders.
  • Volatility: As a growth SaaS stock, amplitude stock can experience high volatility and wide intraday moves.

Read the company’s SEC filings for a complete list of risks disclosed by management.

Trading strategies and investor use cases

Growth vs. value investor perspectives

  • Growth investors: will focus on ARR growth rates, net retention, product adoption, and addressable market (TAM). For amplitude stock, the premium paid by growth investors often reflects expectations of sustained ARR expansion and margin leverage.
  • Value / turnaround perspectives: investors focused on valuation may watch margin expansion, positive free cash flow, and any signs of re‑rating as profitability improves. A value case typically requires evidence of durable cost efficiency and predictable recurring revenue.

Both perspectives rely on consistent disclosures for ARR, retention, and profitability trends to assess the stock’s prospects.

Short‑term trading considerations

  • Volatility and catalysts: amplitude stock tends to move on quarterly earnings, product announcements, partnerships, and macro risk sentiment. Traders often monitor scheduled events and analyst notes.
  • Liquidity and spreads: check on‑exchange volume and quoted spreads before placing large orders; thin liquidity at off‑hours can increase slippage.

For active traders, Bitget market tools and order types can help manage execution for amplitude stock. When using leverage or derivatives, ensure you understand margin rules and risks.

Historical notable stock movements and coverage

Below are two examples of the types of events that have historically moved amplitude stock. These are illustrative of market dynamics rather than exhaustive chronologies.

  • Earnings‑driven move: On an earnings release where Amplitude reported revenue above consensus but lowered near‑term guidance, amplitude stock experienced an intraday decline as future growth expectations were revised downward. Conversely, beats on ARR and upward guidance have produced rallies.
  • Product / partnership announcement: Announcements of enterprise product enhancements or major cloud integrations have sometimes been followed by improved customer adoption commentary and modest positive market reactions.

For precise dates and price actions tied to specific announcements, consult historical press releases and market price charts on Bitget or other market data providers.

Related securities and comparables

Investors commonly compare amplitude stock to other public companies in the SaaS, analytics, and data platform space. Comparable peer groups include:

  • Cloud data and analytics providers.
  • Product analytics and behavioral analytics companies (both public and private peers).
  • Broader SaaS software names used for valuation and multiple comparisons.

Comparisons focus on revenue growth rates, gross margins, ARR multiple, and net retention to evaluate relative positioning.

See also

  • Ampleforth (AMPL) cryptocurrency — disambiguation
  • List of Nasdaq‑listed software companies
  • SaaS valuation metrics and how to read ARR, NRR, and gross margin

References

Sources used to compile this article include:

  • Company investor relations materials and investor presentations (Amplitude investor relations).
  • SEC filings including Form 10‑K, Form 10‑Q, and Form 8‑K for official disclosures.
  • Market data and news coverage from major finance portals and press reporting for historical context and market metrics.

As of 2026‑01‑27, per Amplitude investor relations and the company’s SEC filings, the figures and event descriptions in this guide reflect the latest available public disclosures.

External links

  • Amplitude investor relations and filings (check the company’s IR page and SEC EDGAR for the official forms).
  • Real‑time market quotes and liquidity information for amplitude stock are available on market data platforms, including Bitget’s market pages.

Next steps for readers: If you want to monitor amplitude stock in real time, set up price alerts, watchlists, and earnings reminders on Bitget. If you use a Web3 wallet for custody, consider Bitget Wallet for integration options and secure storage. For research, download the latest Form 10‑K and recent earnings presentation from Amplitude’s investor relations page to verify current ARR, net retention, and share counts.

This article is informational and factual in nature. It does not provide investment advice or recommendations. For specific investment decisions, consult a licensed financial advisor and verify current market data and filings.

The content above has been sourced from the internet and generated using AI. For high-quality content, please visit Bitget Academy.
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