Rivian Automotive Inc Overview
RIVN was traded at $13.4200 as of 2025-06-13.

Rivian Automotive Inc (RIVN)
Quarterly Financials
Annual Financials
Asset Type: Common Stock
Sector: MANUFACTURING
Industry: MOTOR VEHICLES & PASSENGER CAR BODIES
Description: None
Address: 14600 MYFORD ROAD, IRVINE, CA, US
CIK: 1874178
Exchange: NASDAQ
Currency: USD
Country: USA
Fiscal Year End: December
Latest Quarter: June 30, 2024
Market Capitalization: 13,235,953,000
EBITDA: -4,800,000,000
PE Ratio: 0.00
PEG Ratio: 0.000
Book Value: 6.76
Dividend Per Share: 0.00
Dividend Yield: 0.0000
EPS: -5.95
Revenue Per Share (TTM): 5.15
Profit Margin: -1.155
Operating Margin (TTM): -1.187
Return on Assets (TTM): -0.226
Return on Equity (TTM): -0.625
Revenue (TTM): 5,014,000,000
Gross Profit (TTM): -3,123,000,000
Diluted EPS (TTM): -5.95
Quarterly Earnings Growth (YOY): 0.000
Quarterly Revenue Growth (YOY): 0.033
Analyst Target Price: 17.83
Analyst Ratings (Strong Buy): 6
Analyst Ratings (Buy): 10
Analyst Ratings (Hold): 9
Analyst Ratings (Sell): 2
Analyst Ratings (Strong Sell): 0
Trailing PE: 0.00
Forward PE: 0.00
Price to Sales Ratio (TTM): 2.640
Price to Book Ratio: 1.96
EV to Revenue: 2.348
EV to EBITDA: -1.96
Beta: 2.069
52 Week High: 24.87
52 Week Low: 8.26
50 Day Moving Average: 14.91
200 Day Moving Average: 14.04
Shares Outstanding: 1,000,450,000
Dividend Date: None
Ex-Dividend Date: None
Official Website: https://www.rivian.com
Financial Analysis
Valuation Overview
The company's Price-to-Earnings (P/E) ratio is N/A, with a forward P/E of N/A. This suggests stable or moderated growth expectations. The Price-to-Book ratio of 1.96 indicates a premium valuation relative to its assets.
Profitability Metrics
With a profit margin of -1.155% and an operating margin of -1.187%, the company demonstrates challenged profitability. The Return on Equity (ROE) of -0.625% reflects its efficiency in generating returns for shareholders.
Growth Trends
Quarterly revenue growth (YOY) stands at 0.033%, and quarterly earnings growth (YOY) is N/A%. These figures indicate positive growth momentum. The PEG ratio of N/A suggests higher growth expectations.
Dividend Profile
The company offers a dividend yield of N/A% with an annual dividend per share of $N/A. This makes it less appealing for income-focused investors.
Market Position
Trading at $13.4200 (within a 52-week range of $8.26 to $24.87), the stock's beta of 2.069 indicates higher volatility compared to the market. Analyst target price is $17.83, suggesting limited near-term growth.