US · USD

NBIS

Nebius Group N.V.

$232.28-1.53% (-$3.60)
Day's range
$228.47 – $239.63
Day's volume
$2.8B
52-week range
$73.87 – $286.69

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NBIS in numbers

Dividend yield (12m)
0.00%

NBIS price history

10/02/202510/01/2026
Compare with

NBIS risk and return

Monthly closes adjusted for splits and distributions.

Metric12 months
Return+110.10%
Volatility (annualized)91.12%
Largest drawdown-36.02%
Positive months9/12

How much did investing in NBIS return?

$1,000.00 invested on 11/01/2024 would be worth $10,726.69 today.

Value today in NBIS
$10,726.69
Return over the period
+972.67%
Return per year
+265.26%
In the S&P 500
$1,268.41

With dividends reinvested, before taxes and costs, at month-end closes. Past returns do not guarantee future ones.

NBIS's indicators by year

Multiples at each year's closing price; margins and returns from that year's statements.

Indicator20252024202320222021202020192018
ROE1.80%-19.71%7.33%16.58%-5.67%———
ROIC-8.61%-48.29%-7.64%-3.20%-5.14%3.24%6.21%9.76%
Gross margin68.63%52.24%-100.00%-110.37%51.16%60.74%68.19%71.89%
EBITDA margin-36.58%-352.46%-2,616.33%-966.67%3.04%15.54%22.51%25.85%
Net margin15.57%-700.98%2,462.24%5,522.96%-4.11%———

NBIS's financial statements

Line202520242023202220212020
Net revenue$529.8M$91.5M$9.8M$13.5M$4.8B$3B
Cost of revenue-$166.2M-$43.7M-$19.6M-$28.4M-$2.3B-$1.2B
Gross profit$363.6M$47.8M-$9.8M-$14.9M$2.5B$1.8B
EBITDA-$193.8M-$322.5M-$256.4M-$130.5M$145.8M$459.4M
EBIT-$611.7M-$399.6M-$285.7M-$158M-$178.7M$220M
Financial result——————
Income before tax$13.8M-$353M-$297M-$178.9M-$97.2M$503.6M
Income tax-$4M$1M-$2M-$1.1M-$100M-$176.7M
Net income$82.5M-$641.4M$241.3M$745.6M-$197.2M—

Figures the company filed with the CVM. Debt excludes leases; each quarter is that quarter alone.

Does NBIS pay dividends?

NBIS has no distributions on record.

About Nebius Group

Sector
Services

Questions about NBIS

How much is NBIS today?

NBIS is at $232.28 (-1.53% on the day), last traded on 10/01/2026.

How much did NBIS return in 12 months?

NBIS returned 110.10% in 12 months, with annualized volatility of 91.12% and a largest drawdown of -36.02%.