What Is BrightView Holdings, Inc. (BV) Worth in 2026?
According to the CirclFi Deep Alpha Valuation Engine, BrightView Holdings, Inc.'s intrinsic value is estimated at $14.55, suggesting a +29.7% median upside from the current price of $11.22. While 5 models see room for appreciation, model agreement is not unanimous as 4 models flag potential overvaluation. Model dispersion is worth noting: PWERM targets $27.94 (+149.0%), versus ML-RIV at $1.03 (-90.8%). This +239.8% range highlights the importance of multi-model analysis rather than relying on any single methodology.
What Do the Models Say About BV?
9 of 13 models are currently active for BV. Of these, 5 models suggest upside while 4 models suggest overvaluation. Taken together, their median fair value for BV is $14.55 — the figure CirclFi publishes as this stock's fair value. See which stocks rank higher →
How Does BV Rank in Specialty Business Services?
Among 55 Specialty Business Services stocks, BV ranks #27 by Quality of Company score. CirclFi's QOC score of 6.8/10 evaluates 32 fundamental signals. A score of 6.8 indicates above-average quality.
See all Most Undervalued Specialty Business Services Stocks →
BrightView Holdings, Inc. operates in a competitive landscape where fundamental quality metrics are key differentiators for long-term value creation.
Is BV a Value Trap?
CirclFi's Value Trap algorithm assigns BV a score of 6/100 (SAFE). This indicates minimal risk. Fundamentals are healthy. The score cross-references apparent undervaluation against fundamental deterioration signals. Browse lowest value-trap stocks →
Multi-Model Methodology
9 of 13 models are active for BrightView Holdings, Inc.. Moderate coverage provides meaningful perspective. Each model applies a fundamentally different valuation philosophy. See the complete methodology →
According to the CirclFi Quality of Company (QOC) framework, BrightView Holdings, Inc. earns a quality score of 6.8/10. This respectable rating reflects the company's standing across 32 fundamental signals spanning profitability, growth consistency, balance sheet strength, and capital allocation efficiency.
The gap between the most bullish and bearish model spans +239.8% — demonstrating why single-model analysis is dangerous. Browse all stocks with 13-model coverage →
Data Sources & Confidence
Every BV valuation is built from SEC EDGAR XBRL filings — 700+ standardized financial tags. Macroeconomic context from FRED calibrates discount rates, while GDELT news sentiment feeds into our Sentiment SOTP model. All pipelines run daily. Read the complete data methodology →
Across BV's 9 active models, average confidence is 43%. Lower confidence may reflect limited history or high volatility.
CirclFi's output is a research starting point, not a buy/sell signal. All data updates daily. Read the full methodology →