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impinj stock — Impinj (NASDAQ: PI) Overview

impinj stock — Impinj (NASDAQ: PI) Overview

A comprehensive, beginner-friendly overview of impinj stock (NASDAQ: PI): company background, stock profile, historical performance, financials, recent catalysts, risks, and trading considerations ...
2024-07-12 08:56:00
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Impinj (NASDAQ: PI) — Stock overview

impinj stock is the publicly traded equity of Impinj, Inc., listed on the Nasdaq under ticker PI. This article provides a structured, neutral overview of impinj stock for investors and researchers: how the company’s RAIN RFID and IoT products shape market perception, where to find reliable, date-stamped financials and filings, and which operational or corporate events commonly move the shares. Readers will gain a practical map to the company’s business, stock identifiers, typical catalysts, and the data sources needed to verify live figures.

Note: Figures such as market capitalization, share count, and daily trading volume change frequently. When numeric data are used in this article, the date of the source is shown. For live trading, use a regulated trading venue such as Bitget and consult the issuer’s SEC filings and investor-relations materials.

Company background

Impinj, Inc. operates in the radio-frequency identification (RFID) and Internet of Things (IoT) space, with a primary focus on RAIN RFID solutions. The company designs and supplies semiconductor products, readers, gateways, and software that enable items to be wirelessly identified, located, and authenticated across supply chains and retail environments.

Key markets served by Impinj include retail (inventory accuracy, loss prevention), supply chain and logistics (tracking and visibility), healthcare (asset tracking and patient safety), industrial and automotive use cases, and adjacent verticals where item-level visibility is valuable. Impinj’s product portfolio typically includes RFID tag chips, reader chips, fixed readers, handheld readers, and cloud/software services to convert tag reads into actionable data.

Impinj’s technology and standards engagement (notably with the RAIN RFID ecosystem and standards bodies) are central to its go-to-market strategy. The company’s adoption often depends on partnerships with retailers, logistics providers, tag manufacturers, and systems integrators.

Corporate details such as headquarters location, executive leadership, and board composition are available in the company’s public disclosures. As of the most recent public filings, company leadership includes a CEO and CFO who are responsible for investor communications and operational execution—see the Investor Relations section below for date-stamped leadership biographies.

Stock profile

This section summarizes the basic public identifiers for impinj stock and explains where investors can find verified listing details and filings.

Impinj’s primary listing is on the Nasdaq exchange under the ticker PI. The company completed its initial public offering (IPO) in the past decade; the IPO date and related prospectus, as well as subsequent SEC 10-Q and 10-K filings, are the principal sources for historical corporate and capital-structure details.

Primary public filings and investor-resources include the company’s SEC Form 10-K (annual report), Form 10-Q (quarterly reports), current reports on Form 8-K, and proxy statements. Impinj’s investor-relations materials typically host earnings releases, slide decks, webcasts, and historical financial statements.

Key trading identifiers

  • Ticker symbol: PI (Nasdaq)
  • Exchange: Nasdaq
  • CUSIP/ISIN: Investors should confirm CUSIP/ISIN from official filings or a broker; these identifiers are included in SEC filings and exchange listing documents.
  • Investor relations: See the company’s investor relations page and SEC filings for official contact details and the mailing address for investor inquiries.

Shares, market capitalization and float

Shares outstanding, public float, and market capitalization are dynamic metrics that materially influence impinj stock’s valuation and liquidity. When quoting these figures, always include the reporting date and source (for example: the company’s Form 10-Q dated YYYY-MM-DD or a reliable financial-data provider dated YYYY-MM-DD).

  • Shares outstanding: reported on the company’s filings and updated quarterly.
  • Float: the number of shares available to public investors (excludes restricted shares held by insiders and certain strategic holders); float changes with insider lockup expirations and new issuances.
  • Market capitalization: computed as share price × shares outstanding; categorize impinj stock as small-cap, mid-cap, or large-cap based on the current figure at a given date.

Investors should note that corporate actions (secondary offerings, share buybacks, RSU vesting) will affect these metrics.

Historical price performance

This section outlines how to analyze impinj stock’s price behavior across short-, medium-, and long-term horizons and explains common drivers behind notable moves.

  • Short-term: intraday and week-to-week moves are often driven by earnings surprises, guidance changes, major customer announcements, and broader market sentiment toward technology and semiconductor equities.
  • Medium-term (3–12 months): seasonal retail spending, supply-chain cycle improvements or disruptions, trade shows, and product launch cadence can move investor expectations for demand and profitability.
  • Long-term (multi-year): adoption of RAIN RFID at scale by large retail chains, expansion into new verticals (healthcare, automotive), margin expansion through product mix, and recurring revenue from software/services determine the structural valuation trajectory of impinj stock.

Notable highs and lows for impinj stock historically correlate with market cycles, earnings beats or misses, and large commercial wins or contract losses. Use the 52-week high/low (date-stamped) to understand recent volatility; this metric should be read alongside volume and liquidity indicators.

Price chart and technical milestones

Useful chart windows for impinj stock include intraday (for active traders), 1 month, 3 months, 1 year, and 5 years. Key technical elements to track:

  • Support and resistance zones developed from multi-touch price levels.
  • Moving-average interactions (e.g., 50-day and 200-day moving averages) and any golden/death cross occurrences.
  • Breakouts or breakdowns from consolidation patterns (flags, pennants, triangles).
  • Volume spikes accompanying price moves that confirm conviction.

Technical milestones—such as a breakout above a long-term resistance or a rapid breakdown on high volume—often coincide with material news (earnings, guidance, contract announcements) and can be used to time short-term trades or risk-management actions.

Financials and fundamentals

This section explains the core financial metrics to monitor for impinj stock and how they inform company health and valuation.

Key areas:

  • Revenue: top-line growth trends, revenue by segment (chip sales, readers, software/services), and geographic mix.
  • Profitability: gross margin (important for a semiconductor/embedded-systems company), operating margin, and net margin dynamics over time.
  • EPS trends: diluted earnings per share and adjusted EPS (non-GAAP) used by management for operational comparisons.
  • Balance sheet: cash and short-term investments, total debt (if any), working capital, and liquidity ratios.
  • Key valuation ratios: Price-to-Earnings (P/E), EV/Revenue, Price/Book; always accompany any quoted ratio with the date and data source.

When pulling numbers, use the most recent quarterly or annual report and include the filing date. For example, cite the company’s Form 10-Q for the quarter ended YYYY-MM-DD when summarizing recent revenues and balance-sheet items.

Recent quarterly and annual results

For a timely synopsis of impinj stock’s drivers, summarize the latest reported quarter(s): revenue vs. expectations, any announced guidance, gross-margin trends, and management commentary on demand drivers (e.g., retail rollout, supply constraints, or product ramp). When referencing specific results, include the reporting date and source. Example phrasing:

  • As of 2026-01-27, according to the company’s most recent Form 10-Q and press release, investors should consult those primary filings for quarter-over-quarter and year-over-year metrics.

Management commentary during earnings calls—on channel inventory, backlog, or pricing—frequently clarifies the trajectory for impinj stock.

Recent news, corporate developments and catalysts

Material events that typically move impinj stock include earnings beats/misses, major new partnerships or contracts with retailers and logistics companies, product launches, licensing deals, significant insider transactions, and capital markets activity (secondary offerings, convertible notes).

  • Earnings surprises: a beat or miss versus consensus can generate immediate price reaction.
  • Contracts and partnerships: large multi-year agreements with major retailers or logistics providers are high-impact because they validate large-scale adoption.
  • Product launches and technology milestones: proof points surrounding new tag or reader performance materially affect long-term revenue prospects.
  • Capital markets actions: offerings can dilute shares; buybacks reduce float and may support the share price.

Product & technology milestones

Technological advancements—such as new-generation tag chips, reader ICs, or software analytics that improve read rates, range, or cost per read—drive adoption. IP licensing deals or standards leadership (for example, within Gen2X or next-generation RAIN RFID improvements) can expand industry uptake and investor confidence.

Product adoption timelines are often measured in quarters or years; revenue recognition lags large deployments. For impinj stock, announcements that demonstrate broader adoption (e.g., a major retailer deploying item-level tagging across many stores) are strong positive signals.

Capital markets actions

Recent financing or capital-structure events should be monitored closely because they affect the supply of shares and the company’s cost of capital. Examples to watch for impinj stock include:

  • Secondary offerings or at-the-market (ATM) programs.
  • Convertible notes or debt issuances.
  • Share-repurchase programs or announced dividends (rare for growth-oriented technology firms).

Any such actions should be cited to their original SEC filing (Form 8-K, prospectus, or registration statement) with date.

Analyst coverage and market sentiment

Sell-side analyst coverage can affect short-term and medium-term sentiment around impinj stock. Analysts typically publish earnings estimates, model revenue cadence for new product ramps, and issue price targets. Key items to track:

  • Consensus estimates and the dispersion of forecasts across analysts.
  • Recent upgrades or downgrades and the rationale (e.g., improved contract visibility, margin improvements, or competitive threats).
  • Price-target ranges and whether they are revised following earnings or material announcements.

When citing analyst data, include the date of the note or consensus snapshot and the reporting outlet.

Ownership, insider activity and short interest

Ownership composition and insider transactions provide clues about confidence and potential supply-side pressures for impinj stock.

  • Institutional ownership: look at the percentage of shares held by institutional investors and how that changes quarter to quarter (Form 13F data is commonly used).
  • Insider activity: notable insider buys or sells (executive or board-level) are typically reported in Forms 3, 4, and 5; date-stamp any cited insider transaction.
  • Short interest: the size of the short interest relative to float and its change over time can signal bearish positioning and potential for short-covering squeezes. Report the date for any short-interest figure used.

Corporate governance and management

Governance matters and leadership stability can influence investor perceptions of execution risk. For impinj stock, look for:

  • CEO and CFO tenure and prior experience in semiconductors or IoT markets.
  • Board composition: independence, relevant industry expertise, and committee structure (audit, compensation, nominating).
  • Governance events: sudden leadership changes, auditor resignations, or significant board refreshes should be evaluated for their operational implications.

All governance-related facts should be sourced to the company’s proxy statement (DEF 14A) or SEC filings and dated accordingly.

Competitive landscape

Impinj operates in a competitive ecosystem that includes semiconductor suppliers, reader vendors, systems integrators, cloud analytics providers, and tag manufacturers. Competitive dynamics to evaluate:

  • Technology differentiation: read reliability, tag cost, power efficiency, and ecosystem compatibility.
  • Go-to-market partnerships: relationships with major retailers, logistics providers, and large systems integrators.
  • Pricing pressure: tag commoditization or component shortages can squeeze margins.

A comparative view of strengths and weaknesses helps assess how impinj stock may perform relative to peers and the broader semiconductor or IoT indices.

Investment thesis and valuation considerations

This section presents a balanced, non-prescriptive view of bullish and bearish rationales around impinj stock, meant for informational purposes only.

Bullish considerations:

  • Structural growth: broader adoption of RAIN RFID for item-level visibility across retail and supply chain promises recurring hardware and software revenue.
  • Technology moat: sustained read performance and ecosystem integration can protect pricing and market share.
  • Vertical expansion: penetration into healthcare, automotive, and industrial verticals provides diversification of revenue streams.

Bearish considerations:

  • Customer concentration: dependence on a handful of large customers could expose impinj stock to revenue volatility.
  • Supply-chain risk: component shortages or manufacturing disruptions can delay deployments and suppress near-term revenue.
  • Competition and commoditization: tag price pressure and competitive entries can compress gross margins.

Valuation metrics (P/E, EV/Revenue) should be computed with date-stamped inputs; avoid relying on stale ratios when assessing impinj stock.

Risks and contingencies

Investors in impinj stock should monitor several categories of risk:

  • Industry risk: shifts in technology standards or slower-than-expected RAIN RFID adoption.
  • Operational risk: execution of product roadmaps, manufacturing scale-up, and quality control.
  • Customer concentration: dependency on large retail clients can amplify revenue swings.
  • Legal and IP risk: infringement disputes or challenges to patents can be costly.
  • Financing risk: if the business requires additional capital, offerings may dilute shareholders.

Each risk should be considered alongside mitigation steps disclosed by the company in its filings.

Trading considerations and derivatives

Practical trading points for impinj stock:

  • Liquidity: check average daily trading volume and bid-ask spreads (date-stamped). Greater liquidity typically reduces execution cost.
  • Volatility profile: semiconductors and niche-technology firms can show higher volatility; traders should size positions accordingly.
  • Options availability: impinj stock may have listed options that traders use for hedging or speculation; verify open interest and implied volatility before trading.
  • Execution: for large orders or illiquid conditions, use limit orders and consider working the order over time to minimize market impact.

For U.S.-listed equities such as impinj stock, execution can be performed through regulated brokers; for users of Bitget, consult the platform’s market data and order types for execution options.

Regulatory, legal and ESG matters

Regulatory and legal considerations for impinj stock mainly center on intellectual property protection, product compliance (RF exposure, radio regulations), and data privacy where connected devices collect item-level information.

ESG factors to monitor include supply-chain labor practices, conflict-mineral sourcing, energy usage in manufacturing, and product stewardship. Material ESG issues should appear in the company’s sustainability disclosures or proxy materials; reference the date of any cited report.

See also

  • RAIN RFID technology and standards
  • Internet of Things (IoT) overview and enterprise adoption
  • Semiconductor and embedded-systems industry indices
  • Competitor company pages and supply-chain partner profiles

References and further reading

When populating this article with numerical data, use the following types of primary and secondary sources and always date-stamp each cited datum:

  • SEC filings (Form 10-K, 10-Q, 8-K, DEF 14A) — primary source for financials, governance, and capital actions.
  • Company investor relations materials and press releases — for earnings, guidance, and product announcements.
  • Financial-data providers and major financial news outlets — for market data and analyst notes (include date and provider).

Example citation style to use when updating numbers: "As of YYYY-MM-DD, according to Impinj’s Form 10-Q filed on YYYY-MM-DD, total revenue was $X (source: company SEC filing dated YYYY-MM-DD)."

As of 2026-01-27, according to Impinj’s investor-relations page and recent SEC filings, readers should consult those original documents for the most recent revenue, cash, debt, and share-count figures.

External links

Below are the official resources and common financial-quote pages to consult for up-to-date, date-stamped data on impinj stock. (No external hyperlinks are included here; search each resource by name to locate the relevant page.)

  • Impinj Investor Relations (official company IR page)
  • SEC EDGAR (search Impinj, Inc. filings)
  • Major financial-quote pages: Yahoo Finance, MarketBeat, CNBC, Business Insider, Motley Fool (use provider search to retrieve current quotes and analyst notes)

Practical next steps and how to use this guide

  • Verify live metrics: before making trading decisions or analysis, retrieve the latest SEC filings and date-stamped quotes for impinj stock.
  • Watch catalysts: earnings dates, partner announcements, product launches, and capital-market filings are the most frequent stock-moving events.
  • Use Bitget: if you trade U.S.-listed equities and related derivatives through Bitget, review the platform’s market data, available order types, and option chains for execution and hedging.

Further exploration: explore the RAIN RFID technology landscape, read the latest company 10-Q/10-K documents, and monitor analyst notes for shifts in consensus. For educational resources on trading execution and derivatives strategies, consult Bitget’s trading guides and platform documentation.

Thank you for reading this impinj stock overview. To see updated, date-stamped figures and the latest corporate filings, visit the company’s investor-relations materials and SEC EDGAR. To trade or monitor impinj stock through a regulated platform, consider Bitget for market access and wallet solutions.

Disclaimer: This article is informational and neutral in tone. It is not investment advice or a recommendation to buy or sell impinj stock or any security. Always consult licensed financial professionals and the issuer’s primary filings before making investment decisions.

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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