# NextNav Inc. (NN) fundamentals

Data as of 2026-09-08. NASDAQ, United States. Sector: Technology / Electronic Equipment, Instruments & Components. Price $15.18, market value $2.6 billion.

## Valuation
- **P/E (trailing): n/a** (negative earnings). NextNav Inc. reported negative earnings over the last twelve months, so the P/E is not meaningful; use price-to-sales, EV/EBITDA and free-cash-flow yield instead.
- **Price / sales: 644.3×**. Each dollar of revenue is priced at 644.3×, a level that requires very high margins or very fast growth to justify.
- **Price / book: 7.6×**. The shares trade at 7.6× book value; most of the value is in earnings power and intangibles rather than the balance sheet.
- **Free-cash-flow yield: -2.1%** (5-yr avg -9.9%). Free cash flow is negative: the business is consuming cash, which is normal for heavy investment phases but a warning otherwise.

## Profitability
- **Return on equity: 219.5%**. A 219.5% return on equity is extremely high; check whether buybacks or debt have shrunk the equity base, which flatters the ratio.
- **Return on invested capital: -41.9%**. Return on all capital, debt included, is -41.9%: close to or below the cost of capital, so growth may not create value.
- **Return on assets: -45.3%**. Each dollar of assets produces -45.3% of profit.

## Growth
- **Revenue growth (1 yr): -19.3%** (3-yr 5.2%/yr, 5-yr 51.7%/yr). Revenue fell 19.3% over the last year, against 51.7% a year compounded over five years: growth is slowing.
- **EPS growth (1 yr): -69.0%**. Earnings per share fell 69.0%, slower than revenue, so margins compressed.

## Financial health
- **Net debt / EBITDA: net cash**. NextNav Inc. holds more cash than debt.
- **Altman Z-score: 3.21**. A Z-score of 3.21 places the company in the safe zone for bankruptcy risk.
- **Piotroski F-score: 1/9**. 1 of 9 checks pass: weak or deteriorating financials.

## Dividends
- **Dividend: none**. NextNav Inc. does not currently pay a dividend.

## Price and momentum
- **Total return (1 yr): -4.3%** (YTD -8.8%, 3-mo -29.7%). The shares are down 4.3% over twelve months including dividends.
- **From 52-week high: -37.8%** (39.7% above the low). Trading 38% below its 52-week high, deep in a drawdown.
- **200-day average: below**. The price sits below its 200-day moving average, the usual definition of a downtrend.
- **RSI (14-day): 44**. An RSI of 44 is neutral.
- **Beta (1 yr): 1.52** (volatility 76%). Beta of 1.52 against the S&P 500: the shares move much more than the market.

Live score and charts: https://foliofundamentals.com/analyzer?s=NN · Page: https://foliofundamentals.com/stocks/nn

Not investment advice.
