Kaltura, Inc.
KLTRTechnologyNASDAQSoftware - Application · Last scanned Jul 22, 2026
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Daily timeframeHeadquartered within the technology sector, Kaltura, Inc. focuses on Software - Application services and products. Kaltura, Inc., together with its subsidiaries, provides various software-as-a-service (SaaS) products and solutions and a platform-as-a-service (PaaS) in the United States, Europe, the Middle East,. The company carries a $215.0M market cap, placing it firmly in the micro-cap category. The company operates through two segments, Enterprise, Education, and Technology (EE&T); and Media and Telecom (M&T).
Market Cap
$215.0M
Beta
1.17
P/E (TTM)
—
P/E (Fwd)
22.00
EPS (TTM)
$-0.10
EPS (Fwd)
$0.07
ROE
-107.8%
ROA
-1.2%
Cash
$61.8M
Total Debt
$44.5M
Free CF
$30.8M
52W Change
-24.7%
Annual Financials
Cash vs Debt
Where KLTR stands vs its 150-day and 200-day moving averages
As of the July 9, 2026 close, KLTR finished 11.97% below its 150-day moving average ($1.42) and 13.79% below its 200-day moving average ($1.45). This snapshot is end-of-day data shown with a five-trading-day delay on the free plan; Premium members see readings from the latest close.
Is KLTR overbought or oversold?
At the July 9, 2026 close, KLTR's RSI(14) was 26.2, in oversold territory (below 30). The MACD histogram was negative, so short-term momentum leaned bearish at that close. These readings are historical, refresh daily after market close, and are not investment advice.
The balance sheet looks solid with $61.8M in cash comfortably exceeding the $44.5M debt load. A net cash position generally provides financial flexibility during uncertain economic periods. Annual free cash flow of $30.8M supports ongoing capital allocation decisions and provides a cushion against unexpected expenses or downturns. ROE of -107.8% points to negative capital efficiency, indicating how much profit the company produces per dollar of shareholder equity. Revenue has been relatively flat, moving from $168.8M (2022) to $180.9M (2025).
As with any equity investment, KLTR carries market risk, sector-specific risk, and company-specific risk that investors should evaluate in the context of their own portfolios. Understanding these risk dimensions helps frame what to watch going forward as conditions evolve for Kaltura, Inc. and its sector.