Amphenol Corporation (APH)
$
106.7
+1.68 (1.57%)
Key metrics
Financial statements
Free cash flow per share
2.3235
Market cap
129.1 Billion
Price to sales ratio
6.8586
Debt to equity
0.0813
Current ratio
2.0161
Income quality
1.1638
Average inventory
3 Billion
ROE
0.3097
Technology
Technology – consumer electronics
Largecap
With a market cap of 121,78 bil stock is ranked 1
Low risk
ISS score of this stock is ranked 1
Company description
Profile
Amphenol Corporation, along with its subsidiaries, specializes in the design, manufacture, and marketing of electrical, electronic, and fiber optic connectors across the United States, China, and globally. The company operates through three primary segments: Harsh Environment Solutions, Communications Solutions, and Interconnect and Sensor Systems. It provides a range of products, including connectors and connector systems for harsh environments, high-speed applications, and radio frequency interconnects, as well as busbars and power distribution systems. Additionally, Amphenol offers value-added products such as backplane interconnect systems, cable assemblies, and cable management solutions, along with flexible and rigid printed circuit boards, mechanical components, and production-related products. The company also supplies antennas for consumer devices and network infrastructure, coaxial and specialty cables, and various sensors. Its sales strategy includes a dedicated sales force, independent representatives, and an extensive network of electronics distributors targeting original equipment manufacturers, electronic manufacturing services, original design manufacturers, and service providers in markets such as automotive, broadband communication, commercial aerospace, and military. The company reported selling, general, and administrative expenses of $1,855,400,000.00 indicating its operational overhead costs. The gross profit stands at $5,139,700,000.00 highlighting the company's profitability from core operations. Furthermore, the operating expenses amount to $1,855,400,000.00 encompassing various operational costs incurred. The EBITDA is $3,801,400,000.00 a key indicator of the company's operational profitability. Additionally, the company incurred an income tax expense of $570,300,000.00 indicating its tax obligations. In the financial landscape, Amphenol's stock is reasonably priced at $100.21 appealing to a broad range of investors. The stock exhibits a high average trading volume of 8,440,757.00 indicating strong liquidity. With a large market capitalization of $129,064,320,000.00 the company is a dominant player in its field. It stands as a key player in the Hardware, Equipment & Parts industry, contributing significantly to the overall market landscape. Moreover, it belongs to the Technology sector, driving innovation and growth. Through its commitment to quality and innovation, Amphenol maintains a competitive edge, reinforcing its position as a leader in the connector and interconnect systems market.
Investing in Amphenol Corporation (APH) depends on multiple factors, including revenue growth, profit margins, debt-to-equity ratio, earnings per share, and return on equity. Analysts have rated it as B+, with a Bullish outlook. Always conduct your own research before investing.
Analysts predict Amphenol Corporation stock to fluctuate between $54.77 (low) and $108.85 (high) in the next 365 days, reflecting market expectations and potential volatility.
As of 2025-07-28, Amphenol Corporation's market cap is $129,064,320,000, based on 1,209,600,000 outstanding shares.
Compared to Nvidia Corp, Amphenol Corporation has a Lower Market-Cap, indicating a difference in performance.
Amphenol Corporation pays dividends. The current dividend yield is 0.71%, with a payout of $0.17 per share.
To buy Amphenol Corporation (APH) stock: Open a brokerage account (e.g., Robinhood, TD Ameritrade, E-Trade). Search for APH. Place an order (Market, Limit, etc.).
The best time to invest depends on market trends and technical indicators, which show a Bullish trend based on economic conditions and company performance.
Amphenol Corporation's last stock split was 2:1 on 2024-06-12.
Revenue: $15,222,700,000 | EPS: $2.01 | Growth: 24.07%.
Visit https://www.amphenol.com/investor-relations for detailed financial reports.
You can explore historical data from here
All-time high: $108.85 (2025-07-23) | All-time low: $29.29 (2021-03-05).
Key trends include market demand, economic conditions, interest rates, and industry competition, which influence the stock's performance.
News
zacks.com
Amphenol (APH) shares have started gaining and might continue moving higher in the near term, as indicated by solid earnings estimate revisions.
zacks.com
Explore how Amphenol's (APH) revenue from international markets is changing and the resulting impact on Wall Street's predictions and the stock's prospects.
seekingalpha.com
Amphenol Corporation (NYSE:APH ) Q2 2025 Earnings Conference Call July 23, 2025 1:00 PM ET Company Participants Craig Lampo - Senior VP & CFO R. Norwitt - President, CEO & Director Conference Call Participants William Stein - Truist Securities, Inc., Research Division Steven Fox - Fox Advisors LLC Amit Daryanani - Evercore ISI Institutional Equities, Research Division Joseph Giordano - TD Cowen, Research Division Mark Delaney - Goldman Sachs Group, Inc., Research Division Samik Chatterjee - JPMorgan Chase & Co, Research Division Luke Junk - Robert W.
zacks.com
Amphenol surges past Q2 estimates with 88% EPS growth and record $5.7B in sales, fueled by strong IT datacom demand.
benzinga.com
Amphenol Corp APH stock is up after it reported its fiscal second-quarter 2025 results on Wednesday.
reuters.com
Amphenol forecast third-quarter results above Wall Street estimates on Wednesday, after seeing strong demand for its products such as cables, sensors and antennas, sending its shares up 4%.
zacks.com
Amphenol (APH) has an impressive earnings surprise history and currently possesses the right combination of the two key ingredients for a likely beat in its next quarterly report.
seekingalpha.com
The article provides a methodology for selecting high-growth dividend-paying stocks, focusing on dividend growth and sustainability rather than high current yield. We use our proprietary models to rate quantitatively and qualitatively and select the top ten names from an initial list of nearly 400 dividend stocks. The final list of ten stocks is chosen based on sector diversity, high-growth quality scores, and positive momentum, suitable for investors in the accumulation phase.
zacks.com
Strong AI tailwinds, defense end-market gains and Andrew's full-quarter impact keep APH's second quarter outlook sharply bullish.
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