$67.54
0.81% yesterday
NYSE, Oct 17, 10:10 pm CET
ISIN
US0320951017
Symbol
APH

Amphenol Stock price

$67.54
+3.55 5.55% 1M
+11.80 21.16% 6M
+17.98 36.27% YTD
+25.71 61.46% 1Y
+28.80 74.34% 3Y
+42.88 173.88% 5Y
+55.53 462.48% 10Y
NYSE, Closing price Thu, Oct 17 2024
+0.54 0.81%
ISIN
US0320951017
Symbol
APH
Sector

Key metrics

Market capitalization $81.34b
Enterprise Value $85.55b
P/E (TTM) P/E ratio 40.24
EV/FCF (TTM) EV/FCF 37.06
EV/Sales (TTM) EV/Sales 6.39
P/S ratio (TTM) P/S ratio 6.07
P/B ratio (TTM) P/B ratio 9.05
Dividend yield 0.63%
Last dividend (FY23) $0.43
Revenue growth (TTM) Revenue growth 6.61%
Revenue (TTM) Revenue $13.39b
EBIT (operating result TTM) EBIT $2.83b
Free Cash Flow (TTM) Free Cash Flow $2.31b
Cash position $1.30b
EPS (TTM) EPS $1.68
P/E forward 37.78
P/S forward 5.57
EV/Sales forward 5.85
Short interest 1.19%
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Is Amphenol a Top Scorer Stock based on the Dividend, High-Growth-Investing or Leverman Strategy?

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Amphenol Stock Analysis

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Analyst Opinions

22 Analysts have issued a Amphenol forecast:

13x Buy
59%
8x Hold
36%
1x Sell
5%

Analyst Opinions

22 Analysts have issued a Amphenol forecast:

Buy
59%
Hold
36%
Sell
5%

Financial data from Amphenol

Income Statement P&L | Balance Sheet | Cash Flow


Quarter TTM Annually
Jun '24
+/-
%
13,393 13,393
7% 7%
100%
- Direct Costs 8,942 8,942
5% 5%
67%
4,451 4,451
10% 10%
33%
- Selling and Administrative Expenses 1,181 1,181
13% 13%
9%
- Research and Development Expense - -
-
-
3,270 3,270
9% 9%
24%
- Depreciation and Amortization 443 443
10% 10%
3%
EBIT (Operating Income) EBIT 2,827 2,827
9% 9%
21%
Net Profit 2,102 2,102
10% 10%
16%

In millions USD.

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Amphenol Stock News

Positive
Seeking Alpha
14 days ago
The SPDR S&P 500 ETF Trust posted a gain of 2.10% in September as it continues marching on in 2024. The Top 15 dividend growth stocks for October 2024 offer an average dividend yield of 1.05% and appear to be about 20% undervalued based on dividend yield theory.
Positive
Seeking Alpha
15 days ago
I track 50 high-quality dividend stocks, updating their valuations daily to identify Strong Buy, Buy, Hold, and Trim opportunities based on historical free cash flow trends. September's performance: Strong Buy portfolio gained 4.75%, Buy or better 3.18%, and Expected ROR 2.01%, all outperforming the investable universe and SCHD. My hypothesis is these model portfolios will deliver alpha over SP...
Positive
Seeking Alpha
28 days ago
My strategy focuses on buying, holding, and adding companies with consistent dividend growth and outperforming benchmarks, ensuring a successful long-term portfolio. I passed on Lam Research due to competition with Applied Materials but added Amphenol for its unique position in high-growth industries like 5G and EVs. The list merges data from "U.S. Dividend Champions" and NASDAQ, featuring comp...
More Amphenol News

Company Profile

Amphenol Corp. engages in the design, manufacture, and marketing of interconnect products. It operates through the Interconnect Products and Assemblies; and Cables Products and Solutions segments. The Interconnect Products and Assemblies segment comprises connector and connector systems, value-add products, and other products such as antennas and sensors, used in a applications in a diverse set of end markets. The Cable Products and Solutions segment includes value-add products and components for use in the broadband communications and information technology markets as well as certain applications in other markets. Its products include electrical, electronic and fiber optic connectors interconnect systems, antennas, sensors and sensor-based products, and coaxial and high-speed specialty cable. The company was founded by Schmitt J. Arthur in 1932 and is headquartered in Wallingford, CT.

Head office United States
CEO Richard Norwitt
Employees 95,000
Founded 1932
Website www.amphenol.com

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