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figma stock price — Figma, Inc. Overview

figma stock price — Figma, Inc. Overview

This article explains the figma stock price (NYSE: FIG), how market quotes are tracked, major price milestones since the July 31, 2025 IPO, key metrics, ownership and liquidity, analyst coverage, a...
2024-07-03 01:44:00
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Figma, Inc. — Stock Price

figma stock price is the central topic of this article: we cover how Figma, Inc. (NYSE: FIG) is quoted and tracked in public markets, notable price history since its IPO, key valuation metrics, ownership and liquidity characteristics, and the authoritative sources investors and researchers use to follow the security.

This guide is written for investors and researchers who want a practical, beginner-friendly reference to FIG’s market behavior. It focuses on facts, dated data and where to locate updated quotes. For trading access and market execution, this article references Bitget as a recommended platform for spot and derivative markets.

Company overview

Figma, Inc. operates a collaborative, AI-enhanced design platform used by product, design and engineering teams to build interfaces and prototypes. Founded in 2012 and headquartered in San Francisco, Figma gained prominence for its cloud-native collaboration features that allow real-time editing and sharing across teams. The company’s product suite includes core design tools, collaboration features, prototyping, components and developer handoff integrations, plus AI-enabled features added as Figma scaled.

Dylan Field served as CEO at the time of Figma’s IPO and early public reporting, and the executive team has emphasized platform expansion into enterprise accounts, partner integrations and AI-driven productivity enhancements. The business model is subscription-led with tiered pricing for individuals, teams and enterprises. Higher enterprise adoption, expanded seat-based revenue and additional paid features can materially influence revenue growth expectations — and thus investor interest in the figma stock price.

Investors watch Figma’s product adoption metrics (active teams, seats per account, customer retention) and AI feature monetization because recurring revenue and margin trends drive forward-looking valuation models commonly used for growth software companies.

Listing and ticker information

  • Exchange and ticker: NYSE: FIG.
  • IPO date: Listed July 31, 2025 (primary market listing and debut trading).
  • IPO offer price: The IPO offer price was published in the company’s IPO prospectus and accompanying press releases; readers should consult the S-1 filing and investor relations for the exact offer price and allocation details.
  • Identifying codes: Standard identifiers such as ISIN and CUSIP were assigned at listing; check Figma’s investor relations and SEC filings for the precise codes.

Note: Official quotes shown on many finance portals are delayed by vendors (commonly by 15–20 minutes) unless marked as real-time. Pre-market and after-hours trades can and do deviate from regular-session prices; intraday extended-hour activity is relevant to the figma stock price when material news breaks outside regular trading hours.

Price history and notable milestones

This section summarizes FIG’s historical price performance since the IPO and highlights notable volatility and milestone price points. Price figures are dated because market prices change continuously.

  • As of January 24, 2026, according to Yahoo Finance and company reporting, Figma’s reported 52-week high was approximately $142.92 and the 52-week low was approximately $29.48. These figures reflect the trading range since the IPO and subsequent public trading period.

  • Market capitalization: As of January 24, 2026, sources reported a market capitalization near $14.6 billion — a function of the latest share price multiplied by shares outstanding. (Source: Yahoo Finance; cross-check with the company’s investor relations and SEC filings for precise share counts.)

The stock has experienced periods of sharp moves tied to product announcements, earnings releases, AI strategy updates and macro technology sector rotations. Below are more granular notes on milestones.

IPO debut and immediate after-market performance

On the IPO day (July 31, 2025), FIG’s first trades and immediate after-market behavior set initial public-market expectations. The degree of any first-day percentage change versus the offer price (an “IPO pop” or discount) established short-term market sentiment. Media coverage at the time described how investors priced Figma relative to other recent growth software listings and expectations for AI-driven product expansion.

For exact first-day percent change versus the offer price, consult contemporaneous market reports and the company’s IPO prospectus. Those primary sources provide precise figures and allocations.

Significant events affecting the stock price

Price moves since the IPO have been linked to several categories of events:

  • Quarterly earnings releases and forward guidance updates.
  • Announcements about Figma’s AI strategy, new AI features or partnerships that affect product differentiation.
  • Mergers and acquisitions or strategic partnerships that could expand addressable markets.
  • Insider transactions and large insider sales or exercises of options, which can influence free float and sentiment.
  • Analyst rating changes and price-target revisions from sell-side firms.
  • Macro technology-sector shifts, including risk-on/risk-off rotations and interest-rate driven valuation changes.

Each event type has produced both upward and downward pressure on the figma stock price at different times since the IPO.

Market data and key metrics

Investors monitor a set of commonly quoted market metrics to assess FIG’s valuation and liquidity. These metrics should be checked with an authoritative data vendor and tied to a date when referenced.

Key metrics and how to interpret them:

  • Market capitalization: Reflects the company’s public equity value (share price × shares outstanding). As noted above, reported market cap was about $14.6B as of January 24, 2026 (source: Yahoo Finance).

  • Shares outstanding and float: Total shares outstanding and the public float determine how price-sensitive FIG can be to trading flows. Refer to the latest 10-Q/10-K and investor relations for the exact counts and any recent changes.

  • Average daily volume (ADV): Measures typical liquidity. Higher ADV tends to reduce transaction costs and dampen intraday volatility; lower ADV can amplify price moves. As of January 24, 2026, reported ADV figures vary by data provider — check trading-volume reported on finance portals for the current figure.

  • Earnings per share (EPS) and P/E ratio: Growth software IPOs often report negative net income early in their public lifecycle. FIG has shown negative or volatile profitability metrics during initial public-period reporting; therefore simple P/E valuations may not be meaningful until sustained positive EPS is achieved. Use P/S (price-to-sales) and EV/Revenue multiples for early-stage public software companies.

  • Revenue trends and gross margin: Recurring subscription revenue growth and gross-margin trends are central to forward valuation. Figma reported strong gross margins historically on a product-level, but net income turned negative during early public reporting as the company invested in growth and R&D.

Important: Always date and cite the source of numeric metrics, as they change daily. Investors should consult the company’s most recent quarterly (10-Q) and annual (10-K) filings for canonical financial totals and the investor relations site for management commentary.

Intraday and historical quotes

Real-time and historical price data for the figma stock price can be retrieved through: exchange data feeds, brokerage platforms (including Bitget for market access), financial news sites and charting platforms. Common data fields include:

  • Last trade (most recent transaction price).
  • Open, high, low, close (OHLC) for the session.
  • Volume and average volume measures.
  • Bid/ask spread and depth (for liquidity analysis).

Historical daily, weekly and intraday charts let researchers measure volatility, construct returns series and perform technical or quantitative analysis. Data vendors may offer downloadable CSVs of historical prices for modeling.

Ownership, share structure and liquidity

Ownership structure and share-class arrangements materially affect the figma stock price and potential price swings. Key points to monitor:

  • Insider ownership: High insider ownership can align management with long-term shareholders but may reduce free float if founders and early investors retain large stakes.

  • Institutional ownership: Large institutional holders can stabilize or amplify moves depending on portfolio flows and rebalancing.

  • Public float: The available shares for trading determines liquidity. A smaller float can heighten volatility and make the figma stock price more sensitive to supply/demand imbalances.

  • Short interest: Elevated short interest can lead to short-covering squeezes in volatile periods; low short interest implies fewer downside bets from market participants.

All ownership metrics should be confirmed with the company’s SEC filings and third-party data providers; quoted figures change with new filings and trades.

Analyst coverage and price targets

Following the IPO, FIG attracted coverage from sell-side analysts at multiple firms. Analyst coverage typically includes:

  • Buy/Hold/Sell recommendations that reflect short- and medium-term views.
  • Published price targets that update with quarterly earnings, product announcements and competitor developments.

Analyst revisions can influence sentiment and produce measurable price reactions, especially when a large shop issues a material revision. Consensus price targets vary across firms and are updated frequently; consult aggregated analyst-summary pages on major finance portals to see the current consensus and distribution.

Examples of how to use analyst data:

  • Compare consensus price targets to current market price to gauge implied upside or downside.
  • Read analyst notes for reasoning behind target changes — revenue model revisions, margin expectations or TAM (total addressable market) assessments.

Remember: analyst views are informational and not investment advice.

Financial results and guidance affecting price

Quarterly and annual financial reports are primary drivers of the figma stock price. Market reaction typically depends on three elements:

  • Reported results vs. consensus estimates (revenue, billings, EPS).
  • Management commentary and guidance for the upcoming quarter or fiscal year.
  • Non-GAAP metrics many growth software firms report (subscription revenue growth, net-dollar retention, adjusted EBITDA).

Figma has historically reported strong gross margins but negative net income in early post-IPO reporting, as the company invested in product development and go-to-market expansion. Beats or misses on revenue or guidance often produce outsized moves in the figma stock price because growth expectations are embedded in valuations for software-growth names.

When reading results, compare trailing revenue growth rates, gross-margin trends and operating-expense trajectories to understand how the business model is scaling and how profitability might evolve.

Trading characteristics and investor considerations

Practical trading and investor considerations for FIG include:

  • Trading hours: Regular market hours follow the NYSE schedule. Pre-market and after-hours sessions are used for earnings releases and news-driven trading; prices during extended hours can differ from the regular-session figma stock price.

  • Volatility profile: FIG has shown above-average volatility typical of growth software IPOs, particularly around earnings and product announcements.

  • Average volume and liquidity: Check average daily volume on a current basis; liquidity affects transaction costs and slippage.

  • Option availability: Options may be listed by market makers after sufficient trading history; options availability lets investors hedge or express views but also introduces complexity and leverage risks.

  • Common strategies and risks: Investors consider long-term fundamental growth, tactical event trades around earnings or product disclosure, and options-based strategies for defined-risk exposure. Key risks include high revenue multiples, execution risk on enterprise penetration, competition and sensitivity to broader technology-sector multiple compression.

All trading activities should be conducted through a licensed broker — for users seeking market access, Bitget is recommended as a platform for trading and research tools.

Corporate actions and capital structure changes

Corporate actions that influence the figma stock price include:

  • Secondary offerings and follow-on equity raises: Increase share count and can dilute existing holdings.
  • Share buybacks: Reduce shares outstanding and can support the share price if executed materially.
  • Stock splits: Adjust per-share nominal price while leaving market cap unchanged.
  • Dividends: Unlikely for early-stage growth software companies that prioritize reinvestment, but any dividend policy change is material.

Since IPO, any announced secondary offerings, repurchase programs, or stock-split proposals have been disclosed in press releases and SEC filings; always confirm the timing and terms in the relevant 8-K or proxy statements.

Regulatory filings and disclosures

Primary authoritative sources that materially affect the figma stock price are statutory filings and disclosures, including:

  • S-1 (IPO prospectus): Contains detailed historical financials, risk factors and the IPO offer price and allocation.
  • 10-Q (quarterly reports) and 10-K (annual reports): Provide audited financial statements, MD&A and risk discussion.
  • 8-K current reports: Disclose material events (executive changes, acquisitions, financial restatements, share repurchase programs).
  • Insider transaction reports: Forms 3, 4 and 5 report material purchases and sales by insiders.

As of January 24, 2026, readers should consult the SEC EDGAR database and Figma’s investor relations page for the latest filings. Statements and data in this article reference those filing categories when describing material corporate developments.

Risks and volatility drivers

Key risk categories that can drive the figma stock price up or down include:

  • Execution risk: Failure to scale enterprise sales or to monetize AI features as expected.
  • Competition: Established and emerging rivals in collaborative design and AI tooling.
  • Dependence on enterprise adoption: Slower-than-expected seat growth or contract renewals.
  • Macro and sector risk: Technology-sector multiple compression, interest-rate changes and risk-off market dynamics.
  • Insider selling and concentrated ownership: Large insider sales or concentrated founder holdings can create supply pressure or perceived governance concerns.

Investors should use risk disclosures in the company’s SEC filings and independent research to evaluate the potential impact on the figma stock price.

How to track and research Figma’s stock price

For ongoing monitoring of the figma stock price and related company disclosures, use the following sources and tools (no external links provided here):

  • Figma investor relations site — primary company press releases, earnings materials and corporate presentations.
  • SEC EDGAR filings — S-1, 10-Q, 10-K and 8-K filings for authoritative disclosures.
  • Major financial news portals and aggregators (examples: Yahoo Finance, Google Finance, CNBC, TradingView, MarketWatch, Finviz) for quotes, charts and consensus estimates.
  • Brokerage platforms for live execution and account-level tools; Bitget is highlighted as a trading venue offering market access, order types and research tools.
  • Charting and analytics platforms for technical and historical analysis.

When citing price figures, always include the date and the data vendor used, since the figma stock price is time-sensitive.

See also

  • Public software IPOs and growth-stage listings.
  • Collaborative design and prototyping competitors and tools.
  • AI and software-as-a-service (SaaS) stocks and valuation frameworks.
  • Market-cap, P/E, P/S and float definitions and use.

References and data sources

This article draws on public filings and market-data providers. Readers should consult primary sources for verification. Notable sources used for dated figures in this article include:

  • Figma investor relations materials and press releases (for IPO and corporate announcements).
  • SEC filings (S-1, 10-Q, 10-K, 8-K) available on EDGAR for authoritative financials and disclosures.
  • Market-data portals and aggregators reporting daily quotes and historical prices (e.g., Yahoo Finance, TradingView, MarketWatch) — price and market-cap figures quoted above are dated and sourced.

As of January 24, 2026, the 52-week high (~$142.92), 52-week low (~$29.48), and approximate market capitalization (~$14.6B) were reported by public finance portals; users should confirm the latest figures on official vendor pages and in the latest SEC filings.

External links

Suggested pages to visit for live quotes and filings (search by name or ticker; no direct URLs provided here):

  • Figma investor relations page (official company disclosures and IR materials).
  • SEC EDGAR search for the company’s filings (S-1, 10-Q, 10-K, 8-K, insider forms).
  • Major finance portals (Yahoo Finance, Google Finance, CNBC, TradingView, MarketWatch) for quotes and charts.
  • Brokerage platform pages and research tools — for market access Bitget is recommended, and Bitget Wallet when web3 wallet integration is discussed.

Further exploration: consult these sources for the most current figma stock price and related filings.

Further exploration and next steps for readers:

  • Track the figma stock price in your preferred data platform and set alerts for earnings releases and material filings.
  • Review the company’s most recent 10-Q/10-K and earnings call transcript for management guidance and product updates.
  • If you intend to trade or monitor orders, consider using Bitget for execution and Bitget Wallet for any web3-integrated workflows.

Explore more practical guides and real-time tools to stay informed about FIG’s market developments and longer-term valuation factors.

The content above has been sourced from the internet and generated using AI. For high-quality content, please visit Bitget Academy.
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