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IT — Gartner

Software

Last price
$446.49
2025-05-15
52w high
$551.80
-19.1% off high
5yr return
92%
since 2021-05-24
Active modes
0/3
BUY or WATCH
Price chart — last 12 months
Price with 50-day & 200-day MAs. Colored dots mark historical reversal-signal firings — see legend below.
Signal events on chart (last 252 days)
RSI crossed 50×10
50DMA reclaimed×3
Golden cross
Higher lows (5)×7
Volume accumulation×17
Bullish RSI divergence
Oversold / Fear
SKIP54.0· rank #8
🩸 Deep drawdown0/8·0w

FCF yield 13.7%. Down 61.2% from 52w high. Trading 26.0% below 200DMA. Death cross active. Quality: ROIC 35.6%, gross margin 68.4%, 5yr rev CAGR 8.2%.

Acceleration
SKIP24.2· rank #23
🩸 Deep drawdown0/8·0w

P/E 13.9x (reasonable for the growth rate). Quality: ROIC 35.6%, gross margin 68.4%, 5yr rev CAGR 8.2%.

Quality at Fair Price
SKIP38.0· rank #17
🩸 Deep drawdown0/8·0w

Elite: ROIC 35.6%, gross margin 68.4%, op margin 18.1%. P/E 13.9x. PEG 0.57. FCF yield 13.7%. 5yr rev CAGR 8.2%.

Score trajectory
How the score has evolved across recent scans for each mode. Rising score = setup forming.
Annual fundamentals
From yahoo fundamentalsTimeSeries (annual cadence).
Year-endRevenueFCFGross %Op %ROICEPS
2025-12-316.50B1.29B68.4%18.1%35.6%$
2024-12-316.27B1.48B67.7%18.5%30.3%$
2023-12-315.91B1.16B67.8%18.8%35.4%$
2022-12-315.48B1.10B69.1%20.3%41.3%$
2021-12-314.73B1.31B69.5%19.5%32.5%$
2020-12-314.10B903.28M67.2%12.1%16.2%$
2019-12-314.25B565.44M63.5%8.9%12.2%$
Universe metadata
Software

Hand off to Claude for qualitative deep-dive

Claude deep-dive prompt

My stock-scanner has flagged IT with the following signals across multiple scoring modes:

1. Quality gate failed or no signals firing across all 3 modes — the framework currently sees no setup. Why might that be?

Please do a current deep-dive on IT:

1. What's the actual business / what do they sell, in plain English?
2. Recent news + narrative: why is the market pricing this where it is right now? What's the bear case being priced in?
3. Is the long-term thesis intact, or has something fundamentally broken (moat erosion, secular decline, management issues)?
4. What's the upcoming catalyst calendar — earnings, product launches, regulatory dates?
5. Compare to peers: cheaper than peers / more expensive / similar?
6. If buying: is now the right entry, or is there a smarter staged-accumulation plan? Suggest specific price levels.
7. What's the biggest risk to a long position from here?

Use web search for any recent news (last 30 days) to ground your answer in current reality, not training cutoff.