LIF
Life360 Inc. Common StockTechnology · ·
$59.69
▼ $1.76 (-2.9%)
Market Cap
$4.84B
Day Range
$58.64 - $60.93
52-Week Range
$37.01 - $112.54
Beta
—
Next Earnings
11.08.2026
LIF is a stock from the Technology sector — Software, hardware, chip, and computing-services companies — revenue tied to the pace of innovation and upgrade cycles.
🏢 Similar Stocks in the Same Sector
-21.0% (1Y)
This score and all analysis on this page are for informational and educational purposes only and do not constitute investment advice. Read the full disclaimer
Weighted: Technical 25% · Fundamental 20% · Growth 15% · Valuation 15% · News 10% · Quality 10% · Risk 5%
🔍 Cross-Check
Overall Score
🟡 Mixed
Technical Trend
🟢 Bullish
Insiders
🔴 Bearish
✅ Why is the score relatively high?
- 🟢 Revenue growth (last year): 31.8%
- 🟢 Earnings per share (EPS) growth: 3050.0%
- 🟢 Free cash flow growth: 176.3%
- 🟢 Net income growth: 3411.4%
- 🟢 Operating margin is stable or improving over time
⚠️ What's concerning?
- 🔴 Estimated fair value: $26.01 vs. price $59.69 (-56.4%)
- 🔴 ATR: 5.5% of price
- 🔴 Operating margin: 3.8% — weak
🚦 Quality & Risk Checks
📰 News Trend
Based on real financial news (Finnhub)Everyone's writing about Life360 Inc. Common Stock. News trend score: 50. Reason: The mix of positive and negative articles is balanced — 0 vs. 0 out of the last 1 articles.
News trend analysis is based on article sentiment only, and is not investment advice or financial counsel. Read the full disclaimer
📈 Technical Analysis
Based on the last 251 trading days, calculated from real price data. Click an indicator for details and a chart.
🟢 Most indicators support an uptrend (9 bullish · 0 bearish · 2 neutral)
Conclusions
- 🟢Price vs. SMA 50 — Price is above the 50-day average
- 🟢Price vs. SMA 200 — Price is above the 200-day average
- 🟢MACD — MACD histogram is positive — rising momentum
- 🟢RSI — RSI 62.5 — healthy positive momentum
- 🟡Stochastic — %K 79.7 — neutral range
- 🟡ADX (trend strength) — ADX 21.9 — weak trend/choppy
- 🟢Relative strength vs. S&P 500 — +33.3% over the last 3 months relative to the index
- 🟢Bollinger Bands — Price is in the upper third of the Bollinger Bands (100%B) — strong momentum (risk of a pullback)
- 🟢ROC (rate of change) — ROC 12 days: 13.9%
- 🟢Parabolic SAR — Price is above the SAR point — uptrend
- 🟢CMF (money flow) — CMF 20 days: 0.13
Wyckoff Method Analysis
A market-structure read based purely on real price and volume data — not full classic Wyckoff schematic identification (Phase A-E), but a quantitative analysis of what can reliably be computed: trading ranges, "effort vs. result", volume within the range, and Spring/Upthrust detection.
The stock is in a clear uptrend with no defined trading range in the period examined.
Medium confidence
Evidence Behind This Read
- 🟢Rising price trend — A 50.5% change over the last 50 days, with no defined trading range.
The Wyckoff Method, developed by Richard Wyckoff in the early 20th century, reads the balance of supply and demand through price and volume, based on the premise that large investors ("smart money") quietly accumulate shares before rallies and quietly distribute them before declines. The read here is based solely on real price and volume data — full, precise identification of classic Wyckoff patterns (such as Phases A-E) requires human chart-reading experience and judgment, so this is an approximate algorithmic read, not a substitute for professional analysis. This should not be considered investment advice.
🎯 Trade Planning (M.A.E.E Framework)
Based on a mechanical trading method: market structure → value zone → ATR-based exit point. Not investment advice — a calculation tool only.
1️⃣ Market Structure
🟢 Uptrend
The price is above the 200-day average — per the market-structure method, this environment mainly favors looking for buying (Long) opportunities.
2️⃣ Value Zone
🟡 Price far from value zone
The price is currently far from the 50-day average — the method recommends waiting for a "pullback" before entering, rather than chasing prices.
3️⃣ Suggested Exit Point (ATR-based)
Method formula: Stop-loss = support minusone ATR margin — this way the stop adapts to the stock's actual volatility, rather than an arbitrary number.
Entry
$61.45
Stop-Loss
$36.34
Risk per Share
$25.11
Direction
Long
Profit Targets by Risk/Reward Ratio (R)
1:2 R
$111.68
1:3 R
$136.79
1:5 R
$187.02
💰 Position Size Calculator
A core principle of the method: never risk a fixed dollar amount — risk a fixed percentage of equity, and let the position size vary according to the risk per share.
Suggested Position Size
3 sh.
💰 Financial Health
Profitability
Gross Margin
77.8%
Operating Margin
3.8%
Net Margin
30.8%
EBITDA Margin
6.6%
Efficiency
ROE
27.5%
ROA
15.7%
ROIC
—
EPS
$1.95
Balance Sheet
Cash
$494.26M
Total Debt
—
Current Ratio
6.26
Debt/Equity
—
Conclusions
- 🟢Gross margin — Gross margin: 77.8% — strong
- 🔴Operating margin — Operating margin: 3.8% — weak
- 🟢Net margin — Net margin: 30.8% — strong
- 🟢Return on equity (ROE) — Return on equity (ROE): 27.5% — strong
- 🟢Return on assets (ROA) — Return on assets (ROA): 15.7% — strong
- 🟢Current ratio (liquidity) — Current ratio: 6.26
🚀 Growth
Revenue
Earnings per Share (EPS)
Net Income
Free Cash Flow (FCF)
Conclusions
- 🟢Revenue growth (last year) — Revenue growth (last year): 31.8%
- 🟢Earnings per share (EPS) growth — Earnings per share (EPS) growth: 3050.0%
- 🟢Free cash flow growth — Free cash flow growth: 176.3%
- 🟢Net income growth — Net income growth: 3411.4%
💎 Fair Value (Valuation)
Current Price
$59.69
Estimated Fair Value (DCF)
$26.01
Gap
-56.4%
🔴 Appears expensive relative to estimated value
Show all model (DCF) assumptions →
Year 1 Growth Rate
25.0%
Discount Rate (WACC)
9.0%
Terminal Growth Rate
2.5%
Projection Years
5
| Year | Growth Rate | Projected FCF | Present Value |
|---|---|---|---|
| 1 | 25.0% | $108.55M | $99.58M |
| 2 | 19.4% | $129.58M | $109.06M |
| 3 | 13.8% | $147.40M | $113.82M |
| 4 | 8.1% | $159.37M | $112.90M |
| 5 | 2.5% | $163.36M | $106.17M |
Base FCF (last actual year)
$86.84M
Terminal Value
$2.58B
Present Value of Terminal Value
$1.67B
Enterprise Value
$2.22B
Net Debt
$0
Equity Value
$2.22B
*The DCF model is an estimate based on assumptions — not a guaranteed forecast. You can change the assumptions to examine different scenarios.
Book Value per Share
$6.44
Tangible Book Value per Share (Tangible NAV)
$4.41
Conclusions
- 🔴DCF Fair Value — Estimated fair value: $26.01 vs. price $59.69 (-56.4%)
- 🟡Tangible Net Asset Value (NAV) — NAV per share: $4.41
- 🟡P/E — P/E: 34.7
🕴️ Insider Trading
Real transactions by officers and insiders, as reported to the SEC on Form 4 — 0 purchases and 9 sales out of the last 25 filings.
| Name | Transaction Type | Date | Shares | Change | Price |
|---|---|---|---|---|---|
| Hulls Chris | Exercise of Derivative Securities | 16.7.2026 | 433,899 | +27,000 | $2.53 |
| Hulls Chris | Open Market Sale | 16.7.2026 | 419,554 | -14,345 | $55.74 |
| Hulls Chris | Exercise of Derivative Securities | 16.7.2026 | 1,242,386 | -27,000 | — |
| Prober Charles J. | Exercise of Derivative Securities | 13.7.2026 | 117,841 | +7,930 | $11.18 |
| Prober Charles J. | Open Market Sale | 13.7.2026 | 109,911 | -7,930 | $53.05 |
| Prober Charles J. | Exercise of Derivative Securities | 13.7.2026 | 31,720 | -7,930 | — |
| COGHLAN JOHN PHILIP | Open Market Sale | 1.7.2026 | 24,633 | -3,798 | $56.04 |
| COGHLAN JOHN PHILIP | Open Market Sale | 1.7.2026 | 24,431 | -202 | $56.57 |
| Morin Brit | Open Market Sale | 29.6.2026 | 25,975 | -4,655 | $55.00 |
| Hulls Chris | Exercise of Derivative Securities | 18.6.2026 | 422,941 | +27,000 | $8.19 |
| Hulls Chris | Open Market Sale | 18.6.2026 | 406,899 | -16,042 | $47.07 |
| Hulls Chris | Exercise of Derivative Securities | 18.6.2026 | 125,801 | -27,000 | — |
| Prober Charles J. | Exercise of Derivative Securities | 15.6.2026 | 117,841 | +7,930 | $11.18 |
| Prober Charles J. | Open Market Sale | 15.6.2026 | 109,911 | -7,930 | $46.07 |
| Prober Charles J. | Exercise of Derivative Securities | 15.6.2026 | 39,650 | -7,930 | — |
| Burke Russell John | Other Transaction | 12.6.2026 | 68,361 | -45,000 | — |
| Antonoff Lauren | Tax Withholding in Shares | 8.6.2026 | 288,651 | -21,130 | $45.37 |
| Burke Russell John | Tax Withholding in Shares | 8.6.2026 | 115,974 | -6,087 | $45.37 |
| Hulls Chris | Tax Withholding in Shares | 8.6.2026 | 395,941 | -7,544 | $45.37 |
| COGHLAN JOHN PHILIP | Open Market Sale | 1.6.2026 | 28,635 | -3,796 | $43.95 |
| COGHLAN JOHN PHILIP | Open Market Sale | 1.6.2026 | 28,431 | -204 | $44.64 |
| COGHLAN JOHN PHILIP | Grant/Award from Employer | 29.5.2026 | 5,676 | +4,840 | — |
| Goines Mark | Grant/Award from Employer | 29.5.2026 | 11,392 | +5,322 | — |
| Haro Alex | Grant/Award from Employer | 29.5.2026 | 1,010,303 | +4,455 | — |
| Morin Brit | Grant/Award from Employer | 29.5.2026 | 30,630 | +4,636 | — |
📉 Short Interest
Official FINRA data — the number of shares open in short positions, plus daily short-sale activity.
Monthly Trend — Open Short Interest
9,053,862 shares short as of 2026-07-15 · vs. 9,486,376 on 2026-06-30
Official biweekly report (FINRA Rule 4560) — no real higher-frequency data exists for this metric.
Weekly Trend — Daily Short-Sale Activity
85.0% of trading volume this week was short selling, vs. 85.7% the prior week
Based on daily short-sale volume (Reg SHO) — a different metric from the open short interest above: this is daily trading volume, not an open position, so it updates weekly rather than biweekly.
📰 News & Sentiment
Sentiment based on basic keywords (not AI) — 0 positive, 1 neutral, 0 negative out of the last 1 articles.
Benzinga · 4.8.2026