NASDAQ · Technology

MATCH GROUP INC NEW MTCH

Match Group, Inc. provides digital technologies in the United States and internationally. It operates through four segments: Tinder, Hinge, Evergreen and Emerging, and Match Group Asia. The company’s portfolio of brands includes Tinder, Hinge, Match, Meetic, OkCupid, Pairs, Plenty Of Fish, Azar, BLK, and other brands, built to increase users’ likelihood of connecting with others.

Computer Software: Programming Data Processing

Company profile

Business mix

  • It operates through four segments: Tinder, Hinge, Evergreen and Emerging, and Match Group Asia.
  • It provides tailored services to meet the various preferences of its users. Match Group, Inc. was incorporated in 1986 and is based in Dallas, Texas.

Current key questions

  • Can demand and competitive position in internet content & information support revenue growth and margins?
  • Which input costs, regulation, customer concentration, or execution risks matter most for earnings quality?
  • Does capital allocation improve long-term free cash flow and per-share value?
Holders 1 Current sample portfolio
Public mentions 0 Videos / interviews / letters
Valuation snapshot
PE 13.17 FCF 12.7% Buyback 6.58%
2026-06-07

Current firm holders

Firm Weight Value Filing period
Starboard Value Jeff Smith 7.6% $350.0M 2026-03-31

Recent trading changes over the last 1 quarters

Net buyers 0 Last 1 13F filing periods
Net reducers 1 Last 1 13F filing periods
Unchanged holders 1 Share count unchanged
Increase amount $0 Estimated from net added shares
Reduction amount $69.2M Estimated from net reduced shares
Net share change / base shares -15.8% -2,142,297 / 13,537,676
Bridgewater Associates Ray Dalio 1 filing periods
13F 2026-03-31 Filed 2026-05-15
Sold out Shares -100.0% 13F value change -$69.2M
Settlement As of 13F 2026-03-31 · Filed 2026-05-15
Base shares 2,142,297 Last 1 periods -2,142,297 (-100.0%) Total shares 0 Value $0
Starboard Value Jeff Smith 1 filing periods
13F 2026-03-31 Filed 2026-05-15
Unchanged Shares 0.0% 13F value change $0
Settlement As of 13F 2026-03-31 · Filed 2026-05-15
Base shares 11,395,379 Last 1 periods +0 (0.0%) Total shares 11,395,379 Value $350.0M

Recent mentions

No public mentions.