GRABNEUTRAL

GRAB Gross Margin Analysis

43.6%

Updated 251h ago·SEC filings & market data

Key Takeaway

Gross margin measures the percentage of revenue a company keeps after paying direct costs like materials and labor—a higher figure generally indicates stronger pricing power or cost efficiency.

Sector Performance

43th percentile

GRAB

43.6%

Sector Median

47.4%

Sector Avg

48.1%

Prior Period

43.4%(Jul 2026)

→ Stable
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Deep Analysis

Gross margin measures the percentage of revenue a company keeps after paying direct costs like materials and labor—a higher figure generally indicates stronger pricing power or cost efficiency.

At 43.4%, GRAB’s gross margin is well below the Technology sector median of 65.2%, placing it in the 19th percentile among peers. Because the year-over-year and quarter-over-quarter changes are marked as N/A, no trend direction can be determined from the available data. The combination of a low absolute margin and a lack of trend information suggests investors cannot assess whether this weakness is improving or worsening, creating uncertainty about future profitability. This metric contradicts the overall NEUTRAL verdict, as the below-median gross margin highlights a potential competitive disadvantage that warrants closer examination.

Frequently Asked Questions

What does the Gross Margin tell investors about GRAB?

Gross margin reveals pricing power and cost structure. Software companies often sustain 70–80%; manufacturers typically 30–50%. Expansion is a bullish signal.

How is the Gross Margin calculated?

Gross Margin is calculated as: Gross Profit / Revenue.

The Formula

Gross Profit / Revenue

Why It Matters

Gross margin reveals pricing power and cost structure. Software companies often sustain 70–80%; manufacturers typically 30–50%. Expansion is a bullish signal.

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GRAB

43.6%

Sector Median

47.4%

Sector Avg

48.1%

How GRAB's Gross Margin compares to sector peers.

Not financial advice. Research tool only. Data may be delayed.