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atlassian stock: investor guide and overview

atlassian stock: investor guide and overview

This guide explains what 'atlassian stock' refers to, summarizes corporate background, listing details, market and financial context, ownership and analyst coverage, risks, peers, and practical way...
2024-07-03 07:26:00
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Atlassian Corporation (TEAM) — Stock

Quick summary: In U.S. equities context, "atlassian stock" refers to the publicly traded common shares of Atlassian Corporation (ticker: TEAM) listed on NASDAQ. This article covers company background, listing details (including ISIN), market and trading information, financial and ownership data, analyst coverage, risks, peers, and practical ways investors typically gain exposure to TEAM.

As of 2026-01-24, per Atlassian Investor Relations and major financial data providers named below, this entry summarizes public information and points readers to live quote sources for up-to-date metrics.

Company background

Atlassian Corporation Plc is an Australian-founded enterprise software company best known for collaboration and developer tools. Founders Scott Farquhar and Mike Cannon-Brookes launched the business in 2002. Core products include Jira (issue and project tracking), Confluence (team documentation), Trello (visual task boards), Bitbucket (source code hosting), and a portfolio of integrations and developer tools.

Atlassian positions itself in the Application Software sector, focusing on team collaboration, developer productivity, and enterprise workflow. The product strategy emphasizes modular suites, cloud-hosted services, marketplace integrations, and self-service purchasing for teams of varied sizes. Atlassian serves customers across industries, from small teams to large enterprises.

Listing and share information

  • Ticker and exchange: Atlassian trades under the ticker symbol TEAM on the NASDAQ exchange.
  • ISIN: US0494681010 identifies the common shares internationally.
  • Security type: Public common shares (ordinary equity) listed in U.S. markets.
  • IPO: Atlassian completed its initial public offering in 2015.
  • ADR/confusion: Atlassian shares trade directly on NASDAQ; they are not ADRs of a foreign primary listing in the typical depositary bank structure.

For up-to-date counts of shares outstanding, free float, and any treasury shares, consult the company's latest SEC filings and the company's investor relations disclosures.

Share classes and voting structure

Atlassian's publicly traded security is the common share listed as TEAM. Public filings and proxy materials detail the company's voting framework and any founder holdings. Historically, company founders have held meaningful ownership stakes; readers should consult the most recent DEF 14A proxy statement and investor relations pages for the precise voting percentages, share classes (if any), and any special voting arrangements.

Note: This guide refrains from restating transient numerical ownership figures; authoritative ownership and voting breakdowns are available in Atlassian's filings and investor relations materials.

Market data and trading information

Atlassian stock (TEAM) is widely covered by financial data providers and accessible to most U.S. and international investors. Major market data platforms (for example, the providers cited below) publish live quotes, market capitalization, trading volume, 52-week ranges, and other intraday metrics.

Key practical points for traders and investors:

  • Trading hours: TEAM trades during U.S. regular session hours for NASDAQ-listed equities; extended-hours trading may be available on supported broker platforms.
  • Liquidity: TEAM is a widely quoted large-cap technology name with active daily liquidity through centralized order books and alternative trading venues; liquidity can increase around earnings and major corporate announcements.
  • Options: Options contracts for TEAM are generally available on U.S. options markets; investors looking to use options should confirm listings and expirations with their brokerage.

For live market capitalization, average daily volume, intraday ranges, and option chain availability, consult up-to-the-minute pages from major providers such as Yahoo Finance, Google Finance, TradingView, and the company’s investor relations announcements.

Historical price performance

Atlassian stock has experienced multi-year swings reflecting broader software sector dynamics, macro cycles, and company-specific results. Key milestones typically referenced by market observers include the IPO in 2015, various multi-year rallies tied to product expansions and cloud revenue growth, and notable drawdowns tied to macro sell-offs or execution concerns.

Investors interested in historical price behavior should review long-run charts (daily, weekly, monthly) on charting platforms and read archived earnings commentary to link price moves to reported results and guidance changes. Historical corporate events such as large acquisitions or strategic changes often correspond with multi-day or multi-week volatility in TEAM.

Financials and valuation metrics

Atlassian reports GAAP and non-GAAP financials in its quarterly (10-Q) and annual (10-K) filings. Typical financial metrics analysts track include:

  • Revenue growth rates (annual and quarterly), particularly the split between cloud and server/self-hosted revenue where disclosed.
  • Profitability metrics: GAAP net income (or loss), adjusted EBITDA, operating margins, and free cash flow trends.
  • Per-share metrics: reported EPS (GAAP) and adjusted EPS that excludes certain non-cash or one-time items.
  • Valuation multiples: trailing and forward P/E (when positive earnings allow), EV/Sales, and Price/Revenue ratios are commonly used to compare Atlassian to peers.

Recent years have seen Atlassian shift strategic emphasis toward cloud subscription revenue and marketplace expansions; valuation assessments frequently consider recurring revenue quality, net dollar retention, and margin expansion potential. For precise values (last twelve months revenue, EPS, and current multiples), check the most recent earnings release and major financial data services.

Earnings, guidance and key financial events

Atlassian follows a regular earnings cadence, typically reporting quarterly results. Earnings releases include revenue, operating income or loss, EPS, guidance or outlook for upcoming periods (when provided), and key business metrics managers wish to highlight (such as customer counts, cloud adoption rates, and net dollar retention).

Market reactions to Atlassian earnings vary; historically, material beats or misses on revenue and guidance have produced notable intraday price reactions. Management commentary on cloud migration pace, customer retention, and marketplace growth are often focal points.

Investors should track:

  • Quarter-by-quarter revenue and margin trends.
  • Changes in management guidance or the removal of guidance in volatile environments.
  • One-time items (restructurings, acquisition-related costs) that affect GAAP results.

For exact dates of upcoming earnings and the detailed text of prior releases, consult Atlassian Investor Relations and consolidated reporting from financial data providers.

Ownership and insider activity

Public filings (Schedule 13D/G for large holders, Form 4 for insider transactions, and the proxy statement for ownership breakdowns) reveal institutional and insider ownership levels. Key points to monitor:

  • Institutional ownership: large asset managers and mutual funds often appear among top institutional holders of TEAM; institutional ownership can influence liquidity and share price sensitivity to macro flows.
  • Insider ownership: founders, executive officers, and board members typically hold meaningful stakes; disclosure documents list beneficial ownership percentages and changes.
  • Insider trading: Form 4 filings document purchases and sales by insiders. Significant insider buying or selling is often highlighted by analysts, but filings should be read in context—sales can reflect tax planning or diversification, while purchases may indicate confidence.

To verify current institutional and insider ownership, consult the latest proxy statement and SEC filings as well as up-to-date ownership snapshots from major market-data providers.

Analyst coverage and market sentiment

Atlassian stock is covered by a broad set of sell-side analysts and independent equity research firms. Key elements in analyst coverage summaries include:

  • Ratings distribution: analysts typically publish Buy/Outperform, Hold/Neutral, and Sell/Underperform designations; distribution changes can influence sentiment.
  • Price targets: consensus and range of analyst targets provide a snapshot of expectations; note these targets are estimates, not guaranteed outcomes.
  • Thematic notes: analyst research often focuses on Atlassian’s cloud transition, marketplace growth potential, developer tooling demand, and exposure to enterprise IT budgets.

For the most current consensus rating and target range, consult aggregated analyst tables available through major financial data platforms.

Corporate actions, capital allocation and governance

Atlassian's capital-allocation framework has historically emphasized investment in product and platform growth rather than consistent dividend payouts. Typical governance and capital-allocation highlights include:

  • Dividends: Atlassian has not historically paid a regular cash dividend; dividend policy may be revisited by the board over time.
  • Share repurchases: any share buyback program is disclosed through press releases and periodic filings; repurchase scale and cadence can affect shares outstanding and EPS.
  • Secondary offerings: if Atlassian raises capital or insider holders sell large blocks, it may happen via registered secondary offerings, with disclosure to investors.
  • Governance: board composition, committee structures, and executive compensation plans are detailed in proxy materials.

Investors should review the company’s most recent 10-K, 10-Q, and proxy (DEF 14A) for the latest on share repurchases, dividend policy, and governance matters.

Acquisitions and strategic investments

Atlassian has completed targeted acquisitions to extend product capabilities and accelerate growth. Acquisitions commonly aim to:

  • Expand collaboration and developer tooling features.
  • Integrate complementary teams or marketplaces.
  • Accelerate cloud-native capabilities and product innovation.

Material acquisitions and their strategic rationale are summarized in investor filings and press releases. Review Atlassian’s investor relations archive for dates and acquisition terms when assessing long-term strategy impact.

Risks and controversies

Investors in atlassian stock face a set of material risks disclosed in the company’s SEC filings and investor materials. Commonly highlighted risk categories include:

  • Competitive risk: Atlassian operates in a competitive enterprise software market with many established players; product differentiation and pricing pressure are ongoing risks.
  • Execution risk: migrating legacy customers to cloud offerings, integrating acquisitions, and delivering consistent product performance can create execution challenges.
  • Concentration and customer risk: loss of large customers or adverse changes in enterprise IT spending patterns can affect revenue.
  • Legal and regulatory risk: Atlassian may face intellectual property disputes, privacy and data-protection regulation impacts, or other legal proceedings.
  • Macroeconomic exposure: broad market downturns, interest-rate shifts, or sector rotations can affect the stock independently of company fundamentals.

For active litigation, material regulatory developments, or security incidents, consult the company’s SEC filings and public statements. As of 2026-01-24, refer to Atlassian’s investor relations and recent 10-K/10-Q filings for itemized risk disclosures.

Competitive positioning and peers

Atlassian competes with a mix of enterprise software firms that offer cloud collaboration, IT service management, and developer tooling. Commonly referenced peers and comparable companies include enterprise software names that operate in cloud collaboration, customer service, and infrastructure software. Peers vary by product segment: team collaboration, IT service management, and developer tools each have different primary competitors.

Relative strengths often cited in market commentary:

  • Deep developer and team adoption driven by product-led growth and low-friction procurement.
  • Broad ecosystem and marketplace with third-party apps enhancing stickiness.
  • Focus on cross-product integrations and scalable cloud infrastructure.

Differences versus peers typically show up in pricing models, go-to-market motion (self-service vs. enterprise sales), and platform extensibility.

ETFs, indices and institutional exposure

Atlassian stock is included in several technology-focused indices and may be a holding in ETFs that target the software or information-technology sectors. ETF inclusion can increase passive ownership levels, affecting liquidity and share flows, particularly during index rebalances.

To identify which ETFs currently hold TEAM and the approximate ETF weightings, consult ETF holdings tables on major financial platforms or ETF provider disclosures. Institutional exposure via mutual funds, pension funds, and ETFs is a meaningful component of total market ownership for many large-cap technology names.

Trading strategies and instruments

Common ways investors gain exposure to Atlassian stock include:

  • Direct equity: buying and holding common shares (TEAM) through a brokerage account.
  • Options: using listed options for hedging, income (covered calls), or directional trading; options liquidity and implied volatility should be checked before trading.
  • ETFs/indices: gaining passive exposure via sector or technology ETFs that include Atlassian as a holding.

Trading considerations:

  • Volatility: like many technology growth stocks, TEAM can exhibit above-market volatility around earnings, product announcements, or macro shifts.
  • Event risk: earnings dates, major product launches, large customer announcements, and regulatory developments can prompt heightened intraday moves.
  • Liquidity and spreads: while TEAM is generally liquid, bid-ask spreads and order execution quality should be evaluated for large orders.

Note: This guide is informational and not investment advice. Investors should consult licensed advisors and read company filings before making decisions.

Notable news and timelines

A succinct timeline of typical high-impact event types that have historically affected atlassian stock includes:

  • IPO completion (2015) and subsequent early public-market performance.
  • Major product launches and the acquisition of Trello (acquisition historically shifted the collaboration product mix).
  • Strategic cloud-migration milestones and multi-quarter updates on cloud revenue progress.
  • Large acquisitions or marketplace initiatives expanding platform capabilities.
  • Quarterly earnings releases producing notable beats or misses relative to consensus estimates.

For specific dated items and detailed timelines, consult press releases archived on Atlassian Investor Relations and corroborating market commentary from major financial outlets.

See also

  • Atlassian (company profile and product pages)
  • List of enterprise software companies and collaboration platforms
  • Peer company profiles (enterprise software) — check authoritative company filings and analyst coverage for individual peers

References

Sources used in compiling this article (consult these for live metrics, date-stamped reports, and official filings):

  • Atlassian Investor Relations (company filings and investor releases). As of 2026-01-24, consult investor relations for the latest SEC filings and proxies.
  • Yahoo Finance — Atlassian Corporation (TEAM) quote and summary pages. As of 2026-01-24, Yahoo Finance provides live quotes, market cap, and trading statistics.
  • Google Finance — TEAM snapshot and charting. As of 2026-01-24, Google Finance offers quick market-data access.
  • TradingView — NASDAQ:TEAM interactive charts and indicators. As of 2026-01-24, TradingView provides charting and social analysis.
  • CNBC Markets — TEAM quote and news coverage. As of 2026-01-24, CNBC publishes market news and analyst snippets.
  • Robinhood product pages and trading snapshots (for general retail-access context). As of 2026-01-24, retail platforms publish accessible overviews.
  • MarketWatch — TEAM quote, news, and historical data. As of 2026-01-24, MarketWatch archives company headlines and charts.
  • Finviz — TEAM academic snapshot and fundamental table. As of 2026-01-24, Finviz lists common ratios and screening data.
  • Seeking Alpha — coverage, earnings transcripts, and community analysis. As of 2026-01-24, Seeking Alpha aggregates analyst perspectives and earnings commentary.

All data points and dates in this guide are drawn from or cross-checked against the sources above; for live, up-to-the-minute numerical metrics consult those providers directly.

External resources

For official primary documents and live market data, visit:

  • Atlassian Investor Relations (SEC filings, earnings releases, proxy statements)
  • Major market data platforms listed in References for live quotes, charts, and option chains

Note: This article does not include external hyperlinks to comply with platform restrictions; search the resource names above to locate the latest pages.

Practical next steps & custody options (Bitget)

If you're exploring exposure to atlassian stock, here are practical, neutral steps commonly taken by interested investors:

  • Review the latest quarterly report and the most recent 10-K for up-to-date financials and risk disclosures.
  • Check live market data on financial platforms listed above for current price, market cap, volume and option listings.
  • If you need a custody or trading solution that supports U.S. equity access and Web3 features, consider Bitget’s trading platform and the Bitget Wallet for digital-asset custody and account integration where applicable. Bitget provides brokerage and custody services for eligible markets; verify supported products and regulatory coverage in your jurisdiction before using any platform.
  • Use educational tools and demo accounts where possible to understand trading mechanics and order types before committing capital.

Explore more on Bitget to compare order types and custody options, and consult licensed advisors for personalized guidance.

Article prepared as a neutral informational resource. All company facts should be verified against primary filings. This is not investment advice.

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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