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CCC Intelligent Solutions Holdings (CCC) Stock Analysis

Technology Updated October 10, 2026
$7.73
52W $4.08 – $9.45
56/100
$4.13B
106.4
0.47
AI Committee Verdict
Watch
56/100
Conviction: Contested · 40% agreement · 5 analysts
-9.5%
Contested

Is CCC Bullish or Bearish?

Mixed. Innellis AI committee rates CCC Intelligent Solutions Holdings Inc. (CCC) Watch with a composite score of 56/100 , based on 5 analysts with 40% agreement. Last updated October 10, 2026.

What Would Change This View

Upgrade to Buy
Requires a committee score of 60.0 — +3.58 from today. Applies on the first day at or above the line; upgrades are never dampened.
Downgrade to Reduce
Requires the score to fall below 40.0 — -16.42 from today. The band boundary is 45.0, but a one-step downgrade must clear a further margin first. A score oscillating around the line should not change the rating every night.

Executive Summary

The committee is genuinely divided. Growth Analyst sees a compelling case — eps growing 3180.9% yoy. Portfolio Manager remains cautious — sector concentration is already high (hhi 2796.97). This disagreement is itself the signal — the setup is not clean in either direction.

Bull & Bear Case

Bull Case
  • EPS growing 3180.9% YoY — Growth
  • 3 consecutive earnings beats -- consistent execution — Growth
  • MACD histogram positive -- bullish momentum — Technical
Bear Case
  • P/E of 97.6 is expensive by classic value standards — Value
  • ROE of only 2.3% -- cheap may mean cheap for a reason — Value
  • Growth rate is decelerating quarter over quarter -- the trend line matters more than the level — Growth
  • Price trading above the upper Bollinger Band -- stretched — Technical
Both cases are generated from quantitative data signals, not qualitative or forward-looking judgement. They summarise what the numbers say today.
Price History (6M)

AI Investment Committee

Committee Consensus As of October 10, 2026
Overall Committee Score
56/100
Agreement
40%
Analysts
5
Conviction
Contested
Sector Rank
Top 65%
of 287 Technology peers
Value Analyst bearish
35 / 100 · Moderate confidence
Multiples don't clear a genuine value bar here, or cheapness looks justified by weak fundamentals
− P/E of 97.6 is expensive by classic value standards
Growth Analyst bullish
66 / 100 · High confidence
Strong, accelerating growth with consistent execution
+ EPS growing 3180.9% YoY
− Growth rate is decelerating quarter over quarter -- the trend line matters more than the level
Technical Analyst neutral
58 / 100 · High confidence
Mixed or range-bound price action
+ MACD histogram positive -- bullish momentum
− Price trading above the upper Bollinger Band -- stretched
Macro Analyst bullish
65 / 100 · Low confidence
Macro backdrop is supportive of risk assets generally, and this name's beta works in its favor
News Analyst neutral
58 / 100 · Low confidence
News flow is mixed or quiet -- no strong signal either way right now
Portfolio Manager bearish
30 / 100 · Moderate confidence
The existing book itself argues for caution here, independent of how good this specific stock looks
− Sector concentration is already high (HHI 2796.97)
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Investment Thesis Evolution

Committee score moved marginally from 54.4 to 56.4.

Analyst-level changes:
  • Technical Analyst: score 48->58 (+10); +1 bearish signal(s); +1 bullish signal(s).
  • Value Analyst: +1 bearish signal(s).

Comparing 2026-10-09 to 2026-10-10 (1 day apart).

Technical Analysis

RSI (14)
69.3
Neutral
MACD Histogram
0.022
Bullish Momentum
Trend Direction
Sideways
Weekly: Downtrend
Market Structure
Hh Hl
Support
$7.00
Resistance
$7.68
Bollinger %B
1.12
Above Upper Band
Price vs Moving Averages
EMA 9
$6.70 Above
EMA 21
$6.72 Above
EMA 50
$6.63 Above
EMA 200
$6.55 Above

Fundamental Analysis

Valuation
63
Growth
61
Profitability
30
Financial Health
75
Cash Flow
70
Valuation
P/E Ratio 106.4×
P/B Ratio 2.30×
PEG Ratio -0.00
Dividend Yield 0.00%
52W High $9.45
52W Low $4.08
Quality & Growth
ROE 2.3%
ROA 1.1%
Gross Margin 7348.7%
Operating Margin 1587.1%
Revenue Growth YoY —
Debt / Equity 0.77
AI Fundamental Assessment
P/E ratio of 106.4 (rich relative to a 15-40x range); Price-to-book of 2.3x; PEG ratio of -0.0 (under 1.0 suggests growth is undervalued relative to price); Return on equity of 0.0%; Return on assets of 0.0%; Net margin of 3.8%; Gross margin of 73.5%; Current ratio of 1.56 (healthy short-term liquidity); Debt-to-equity of 0.77; Free cash flow per share is positive (0.53); Most recent quarter beat estimates by 1.2%; 3 consecutive earnings beats; EPS growth decelerating (+10.0% -> -9.1% QoQ); Analyst estimates rising over recent quarters
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