Spire Global, Inc.(SPIR)Stock Analysis
AI analysis on 2,800+ stocks →Deep AI analysis on 2,800+ stocks →13F Pro Quality Score
Rank #1,756 of 2,879 stocks
View Communication Services peers →
Rankings refresh quarterly once 80% of peers have filed (~45 days after quarter-end). Next update: ~Aug 14, 2026.
Revenue Growth
Profitability
Balance Sheet
Earnings Quality
Free Cash Flow
Institutional Flow
Revenue Scale
Dilution Risk
SPIR Stock Analysis & AI Quality Score
AI stock analysis and institutional research for Spire Global, Inc. (SPIR), a Communication Services sector company. 13F Pro's AI-powered ranking engine scores SPIR at 44.8/100 on a 32-signal composite quality model, placing it at rank #1,756 of 2,879 stocks — the bottom half of the AI-ranked universe. SPIR scores in the top quartile across balance sheet strength (98.0), profitability (94.7), institutional flow (93.0). Areas of concern include revenue growth (4.1) and free cash flow (6.6), which score below median versus the broader universe. Shareholder dilution risk is elevated at 11.1/100, reflecting ongoing share issuance or stock-based compensation. Based on the latest XBRL financial filings (Q1 2026), Spire Global, Inc. reports quarterly revenue of $15.8M, net income of $-25.8M, free cash flow of $-34.2M. Top institutional holders of SPIR by reported 13-F value include 325 CAPITAL, BlackRock,, VANGUARD CAPITAL MANAGEMENT, based on the most recent SEC filings. SPIR trades on the NYSE exchange and files with the SEC under CIK 1816017. 13F Pro's AI research platform runs 10 specialized AI analysts — value, growth, momentum, macro, and activist specialists — that debate SPIR daily and publish AI-generated analysis with cited SEC sources. The platform aggregates historical XBRL financial facts, 10-Q and 10-K filings, insider Form 4 transactions, and institutional 13-F holdings for Spire Global, Inc. directly from SEC EDGAR. Spire Global, Inc.'s 13F Pro composite quality score has ranged between 25 and 52 since 2022, currently 44.8 — an improving long-term trajectory across 24 quarterly and live scoring snapshots.
Revenue
Q1 2026
$15.8M
Net Income
Q1 2026
$-25.8M
Free Cash Flow
Q1 2026
$-34.2M
Revenue & Net Income
Earnings Per Share
Key Financials Over Time
Export Financial Table · Pro+Revenue
-35.2% YoYNet Income
+149.9% YoYOperating Income
-39.6% YoYEPS (Diluted)
+134.8% YoYTotal Assets
+9.0% YoYTotal Debt
-100.0% YoYOp. Cash Flow
-224.2% YoY| Metric | FY 2025 | FY 2024 | FY 2020 |
|---|---|---|---|
| Revenue | $71.6M -35.2% | $110.5M +287.7% | $28.5M |
| Net Income | $51.3M +149.9% | $-102.8M -216.3% | $-32.5M |
| Operating Income | $-96.0M -39.6% | $-68.7M -164.2% | $-26.0M |
| EPS (Diluted) | $1.49 +134.8% | $-4.28 -131.4% | $-1.85 |
| Total Assets | $211.0M +9.0% | $193.6M +335.8% | $44.4M |
| Total Debt | $0.00 -100.0% | $197.0M +639.4% | $26.6M |
| Operating Cash Flow | $-59.8M -224.2% | $-18.5M -24.9% | $-14.8M |
AI Insight: SPIR Financial Trends
Revenue collapsed 36% from Q2 2024 to Q1 2026 amid persistent operating losses and negative cash flow; one-time Q2 2025 net income gain masks underlying deterioration.
• Revenue declined from $25M (Q2 2024) to $16M (Q1 2026), a 36% drop over two years with no recovery trajectory.
• Operating income remained deeply negative every quarter, ranging from -$12M to -$31M; no quarter achieved profitability.
• Operating cash flow turned negative in most periods; Q1 2026 deteriorated to -$26M, worst since Q4 2024.
• Total debt fell from $197M (Q4 2024) to $0M–$5M by Q3 2025–Q1 2026, but equity compressed to $91M from peak $149M.
⚠ Q2 2025 reported $117M net income despite -$26M operating income and -$35M cash flow—likely one-time gain masking core business weakness.
⚠ Equity eroded 39% from Q2 2025 peak ($149M) to Q1 2026 ($91M); persistent losses threaten solvency.
AI Insight: SPIR Ratio Trends
Spire Global remains deeply unprofitable across all metrics, with operating margin deteriorating to -155.2% in Q1 2026 and ROA worsening to -56.5%.
• Operating margin collapsed from -48.6% in Q2 2024 to -155.2% in Q1 2026, a 106.6pp deterioration over nine quarters.
• ROA declined from -28.7% in Q2 2024 to -56.5% in Q1 2026, signaling worsening asset utilization and persistent losses.
• Debt-to-equity ratio collapsed to 0.00–0.04 range in recent quarters, indicating near-complete equity financing after prior 2.62–3.15 leverage.
⚠ Net profit margin deteriorated to -163.2% in Q1 2026 from -65.2% in Q2 2024; company is burning cash at accelerating rate.
⚠ TTM NPM of 72.6% is anomalous given negative quarterly margins; likely reflects seasonal Q4/Q1 timing or one-off gain.
Get alerted when SPIR's score changes
Free account: watchlist tracking, the daily AI brief, and the AI screener.
Available Research
13F Pro tracks comprehensive data for Spire Global, Inc. including:
Top Institutional Holders of SPIR
325 CAPITAL LLC
$23.6M1,875,000 shBlackRock, Inc.
$21.9M1,737,459 shVANGUARD CAPITAL MANAGEMENT LLC
$14.4M1,144,514 shLane Generational LLC
$9.5M755,902 shGEODE CAPITAL MANAGEMENT, LLC
$9.0M717,234 shDeer Management Co. LLC
$9.0M713,310 shSTATE STREET CORP
$7.2M575,054 shROYCE & ASSOCIATES LP
$7.2M570,000 shSTIFEL FINANCIAL CORP
$6.5M518,217 shSUSQUEHANNA INTERNATIONAL GROUP, LLP
$5.5M434,500 sh
| Fund | Value | Shares |
|---|---|---|
| 325 CAPITAL LLC | $23.6M | 1,875,000 |
| BlackRock, Inc. | $21.9M | 1,737,459 |
| VANGUARD CAPITAL MANAGEMENT LLC | $14.4M | 1,144,514 |
| Lane Generational LLC | $9.5M | 755,902 |
| GEODE CAPITAL MANAGEMENT, LLC | $9.0M | 717,234 |
| Deer Management Co. LLC | $9.0M | 713,310 |
| STATE STREET CORP | $7.2M | 575,054 |
| ROYCE & ASSOCIATES LP | $7.2M | 570,000 |
| STIFEL FINANCIAL CORP | $6.5M | 518,217 |
| SUSQUEHANNA INTERNATIONAL GROUP, LLP | $5.5M | 434,500 |
More Communication Services Companies
View all Communication Services →Put SPIR on your watchlist
Track score changes the day Spire Global, Inc. files with the SEC, follow the hedge funds that own it, screen 2,800+ AI-scored stocks, and get the daily brief — free.
Free tier includes 13F data, economic indicators, and market overview. Pro starts at $6.67/mo (billed annually).
Popular Research
Is SPIR a good stock to buy?
13F Pro's AI-powered analysis of Spire Global, Inc. (SPIR) draws on SEC EDGAR-sourced fundamentals, institutional 13F holdings, and insider Form 4 transactions in the Communication Services sector (listed on NYSE). The 32-signal AI Quality Score, current rank, and full bull/bear verdict for SPIR are available on the SPIR stock profile dashboard — with the same data, AI insights, ratios, and institutional activity refreshed after every 10-K, 10-Q, 13F, and Form 4 filing.
Which hedge funds own SPIR?
Institutional investors are required to disclose their holdings quarterly via SEC Form 13F. 13F Pro aggregates these filings to show which hedge funds, mutual funds, and asset managers are buying or selling SPIR. Combined with insider transaction data from Form 4 filings and AI-powered analysis from 10 specialized research agents, 13F Pro provides a comprehensive view of Spire Global, Inc.'s investment landscape.