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Amphenol Corporation (APH) Fair Value & Analysis

Technology · US · Market cap $186B · ISIN US0320951017

What is Amphenol Corporation really worth?

AC Amphenol Corporation logo Amphenol Corporation APH · US
Price$82.07
Fair Value$97.19
Upside+18.4%
Quality68/100

A solid business, trading 16% below our fair value of $97.19.

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Strengths

Healthy Growth (revenue 5y +21.8 %/yr)
Solidly profitable · 17.2% net margin
Moderate debt · generates free cash flow
Wide moat 86/100

Risks

!Mixed vs. peers (8/15)
!Weak on dividend: 20 out of 100

For context

·1.01% dividend yield
Evidence: High Range $51.05 – $121.49

Fair value as of: Aug 30, 2026

From 26 valuation models · updated 6 days ago

Share price −4.2% over the past month.

What runs behind every stock

69 individual criteria per stock, every one traceable See the method →

What matters now

  • A fairly wide model range ($51.05 to $121.49) leaves room in how you read the outcome.
  • The price sits in the lower half of our model range, the side with the larger margin of safety.
  • The data supports the verdict: every model runs on fully documented inputs.

Price vs Fair Value (5 years)

$88.16 $15.04 Fair Value $97.19 Jun 2021 Sep 2026

White line = price, green steps = our fair value per fiscal year, dashed = 300-day average. As of Aug 30, 2026.

How to read this chart

60‑month range $15.04 – $88.16 · fair‑value band $51.05 – $121.49 · the $82.07 price screens below the $97.19 fair value. Green steps = our fair value per fiscal year (point-in-time, no hindsight). Dashed = 300-day average. As of Aug 30, 2026.

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Analysis

Amphenol Corporation (APH) currently trades at $82.07, while our model-based Fair Value estimate is $97.19, implying the stock looks roughly 15.6% undervalued today. The Quality Score stands at 68/100 (solid quality), in the Technology sector. Bull case: the DCF Models group reads highest at a median of $88.37 per share, and 12 of the 26 models we run sit above the $82.07 price. Bear case: the Dividend Discount group reads lowest at $10.50, and 14 of the 26 models stay below the price. Evidence for this calculation is high.

Over the trailing twelve months, Amphenol Corporation generated revenue of $25.9B at a net margin of 17.2%. Revenue grew 58.4% year over year. It earns a return on equity of 36.8%. Net debt stands at $4.4B. Fundamentals as of Aug 30, 2026

Our scenario range runs from $51.05 (bear case) to $121.49 (bull case); at $82.07, the current price sits within that range. Bear and bull are the same models run on conservative and optimistic assumptions (margins, growth, valuation multiples), so a plausible valuation range, not a price target. The share trades about 51% below its 52-week high, currently below its 200-day average. For context, the median of 10 Technology peers we cover trades at −66% fair-value upside, at 18%, APH screens cheaper than that median.

Fair Value models

This estimate rests on fiscal year 2025 figures, and about 8 months have passed since. In that time the company retained roughly $1.79 per share, which is 1.8 % of the fair value. The fair value deliberately does not add this in: the models value reported figures, not a projection.

Each model estimates fair value its own way; the Fair Value above is the evidence-weighted, family-balanced blend. Evidence (0–100) measures how completely this model’s inputs are available: well-fed models carry more weight in the blend. The spread across models is intentional, each one stresses a different value driver; dividend models, for instance, come out structurally low when payout is small. Every input is real reported data, nothing guessed.

Model Bear Bear = the cautious scenario: the same model computed with conservative anchors (lower growth, margins and valuation multiples). Together with Bull it frames a plausible valuation range, not a price target.BaseBull Bull = the optimistic scenario: the same model computed with favourable anchors (higher growth, margins and valuation multiples). Together with Bear it frames a plausible valuation range, not a price target. Evidence
Highest evidence
FCF DCF $45.10 $88.37 $166.90 76
Growth DCF $44.35 $82.94 $150.40 75
EPV $33.41 $39.45 $44.73 74
All 26 models by family
DCF Models
FCF DCF $45.10 $88.37 $166.90 76
Owner Earnings $43.11 $84.58 $159.84 72
5Y Revenue Exit $42.57 $80.01 $132.00 70
5Y EBITDA Exit $60.78 $118.74 $193.73 73
5Y P/E Exit $59.01 $114.97 $181.04 69
10Y Revenue Exit $41.47 $77.87 $136.17 64
10Y EBITDA Exit $55.28 $106.77 $189.44 65
10Y P/E Exit $54.08 $103.95 $178.49 61
Earnings-Based
Graham-Dodd $23.60 $121.50 $167.96 64
Lynch FV $33.17 $47.38 $61.60 61
PEG = 1.0 $33.17 $47.38 $61.60 57
EPV $33.41 $39.45 $44.73 74
Dividend Discount
Gordon GGM $5.99 $12.45 $19.75 66
DDM Multi-Stage $5.99 $10.50 $13.07 66
Multiples
P/E Multiple $72.89 $97.19 $121.49 63
P/S Multiple $44.26 $59.01 $73.76 58
P/B Multiple $44.26 $59.01 $73.76 55
EV/EBIT $84.59 $113.71 $142.84 66
EV/EBITDA $72.86 $98.08 $123.30 67
EV/Revenue $41.38 $60.32 $79.25 53
Asset-Based
NCAV (Graham) $5.45 $7.30 $10.90 54
Growth DCF
Growth DCF $44.35 $82.94 $150.40 75
Rev-Margin DCF $42.57 $78.74 $127.09 71
Economic Profit
Residual Income $25.66 $37.88 $373.62 64
ROIC Compounder $38.84 $53.13 $71.34 71
Growth Earnings
Growth-Adj P/E $58.52 $83.60 $108.69 67

Widest divergence: DCF Models ($88.37) versus Asset-Based ($7.30). Highest evidence: FCF DCF (76).

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Key figures & financial health

P/E ratio 23.6
P/S ratio 4.36 P/E × margin
EPS (TTM) $3.48 price ÷ EPS = P/E 23.6
Dividend yield 1.0% payout 23.9%
Net margin 18.5% FY2025
Return on equity 36.8% TTM
More key figures
Profitability
Return on assets (EBIT) 15.8% avg 5y
Operating margin 27.3% TTM
Growth
Revenue (TTM) $25.9B TTM
Revenue growth (YoY) +58.4% 3y avg +22.3%
EPS growth (YoY) +24.1%
Balance sheet & cash flow
Free cash flow $4.4B FY2025
Net debt $4.4B FY2025 · ≈ 1.0 yrs of FCF

Figures from reported company fundamentals · as of Aug 30, 2026. TTM = trailing twelve months.

Quality Score breakdown

Overall quality 68/100

Of which business quality 67 · Market factors (momentum, volatility) 55

Profitability 67
Margins and returns on capital today
Quality Growth 70
Are margins and returns improving?
Cashflow 72
Earnings quality: real cash, not paper profit
Fin. Strength 78
Balance sheet, leverage, solvency risk
Investment 29
Disciplined investing over empire-building
Low Volatility 38
Calm price path (market factor)
Momentum 74
Price trend over the last 3–12 months (market factor)
52W Momentum 44
Distance to the 52-week high (market factor)
Net Issuance 71
Buybacks instead of dilution

Non-valuation factor families (profitability, growth, cashflow, financial strength, momentum …), each academically grounded. Valuation itself sits in the Fair Value and is deliberately excluded here to avoid double-counting.

All values are scores from 0 to 100 (100 = best against fixed, research-based bands), not percentages. The three market factors (momentum, 52-week proximity, low volatility) are displayed but carry zero weight in the headline number: market sentiment is not a business property.

About the company

Amphenol Corporation, together with its subsidiaries, designs, manufactures, and markets electrical, electronic, and fiber optic connectors in the United States, China, and internationally. It operates through three segments: Communications Solutions, Harsh Environment Solutions, and Interconnect and Sensor Systems.

Full company description

Amphenol Corporation, together with its subsidiaries, designs, manufactures, and markets electrical, electronic, and fiber optic connectors in the United States, China, and internationally. It operates through three segments: Communications Solutions, Harsh Environment Solutions, and Interconnect and Sensor Systems. The company offers connectors and connector systems, including high speed, radio frequency, power, fiber optic and other interconnect products; busbars and power distribution systems; power interconnect products; and other products. It also provides value-add products, such as backplane interconnect systems, cable assemblies and harnesses, and cable management products; and other products comprising flexible and rigid printed circuit boards, hinges, other mechanical, and production related products. In addition, the company offers consumer device, network infrastructure, and other antennas; coaxial, power, and specialty cables; and sensors and sensor-based products. It sells its products through its sales force, independent representatives, and a network of electronics distributors to original equipment manufacturers, electronic manufacturing services companies, original design manufacturers, and service providers in the automotive, commercial aerospace, communications networks, defense, industrial, information technology and data communications, mobile devices markets. Additionally, the company provides telecommunication and IT networking solutions. The company was founded in 1932 and is headquartered in Wallingford, Connecticut.

Company description, as reported by the company or data provider.

Revenue & earnings trend

FY2021 – FY2025 · reported fiscal years

Amphenol Corporation reported revenue of $23.1B in FY2025 versus $10.9B in FY2021, a compound +20.7%/yr. Reported net income was $4.3B in FY2025, compounding +28.0%/yr from FY2021.

Growth Quality 100/100
Revenue growth appears healthy and is supported by profitability and cash-flow quality.
Latest Revenue (FY 2025)
$23.1B
Latest YoY
+51.7%
Avg. revenue growth/yr (3Y) Measures the company's TOTAL revenue from reported annual statements: compound average growth per year (CAGR) from the fiscal year 3, 5 or N years back to the most recent comparable fiscal year. Not per share: buybacks do not change this number, and a merger can appear as a growth jump.
+22.3%
Avg. revenue growth/yr (5Y) Measures the company's TOTAL revenue from reported annual statements: compound average growth per year (CAGR) from the fiscal year 3, 5 or N years back to the most recent comparable fiscal year. Not per share: buybacks do not change this number, and a merger can appear as a growth jump.
+21.8%
Avg. revenue growth/yr (35Y) Measures the company's TOTAL revenue from reported annual statements: compound average growth per year (CAGR) from the fiscal year 3, 5 or N years back to the most recent comparable fiscal year. Not per share: buybacks do not change this number, and a merger can appear as a growth jump.
+12.1%
Value creation/yr (5Y) Earnings growth per share (CAGR 5 years) plus dividend yield: value created per share and year.
+28.9% (27.9 + 1.0)
Revenue +20.7%/yr
FY21 $10.9B
FY22 $12.6B
FY23 $12.6B
FY24 $15.2B
FY25 $23.1B
Net income +28.0%/yr
FY21 $1.6B
FY22 $1.9B
FY23 $1.9B
FY24 $2.4B
FY25 $4.3B
Character of growth · EPS growth decomposed (2014-2025) +15.9 % p.a.
Revenue per share +12.9 %

of which total revenue +12.8 % · buybacks/dilution +0.1 %

EBIT margin +1.8 %
Tax rate +1.9 %
Residual (interest, one-offs) −1.0 %

Annual growth per factor. These are factors, not summands: multiplied they give the EPS growth rate, added they do not quite. Start and end points are 3-year averages (details on hover).

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Cite: Fair Value Calculator (2026). "Amphenol Corporation Fair Value". https://www.fairvalue-calculator.com/stock/APH

Peer Group

Electronic Components · 638 stocks

How this stock ranks against its industry: the green marker is this stock, the band is the typical 25–75% peer range, and the tick is the median.

Quality Score 68 · Top 25%
Fair Value upside +18% · Top 25%
Return on equity (TTM) 37% · Top 25%
Return on assets 13% · Top 25%
Net margin (TTM) 17% · Top 25%
Operating margin (TTM) 27% · Top 25%
Revenue growth 58% · Top 25%
Dividend yield (TTM) 1.0% · Below median
Debt / equity 1.09× · Higher than 75% of peers

Valuation Multiples vs Electronic Components median · lower = cheaper

P/E (TTM) 23.6× · Cheaper than median
P/B 13.87× · Pricier than 75% of peers
P/S (TTM) 7.18× · Pricier than 75% of peers
P/FCF 42.5× · Pricier than 75% of peers
EV/EBITDA 23.2× · Pricier than median
PEG 1.29× · Pricier than median

Strength profile in five axes (Snowflake)

Five quick dimensions, each 0 to 100: VALUE (fair-value potential), FUTURE (revenue growth), PAST (return on equity), HEALTH (low debt), DIVIDEND (yield). Green = this stock, grey = typical sector peer.

VALUEFUTUREPASTHEALTHDIVIDEND
This stock
VALUEFUTUREPASTHEALTHDIVIDEND
Sector peers
VALUE58 · sector 0
FUTURE100 · sector 40
PAST100 · sector 25
HEALTH46 · sector 95
DIVIDEND20 · sector 24

Insider activity: 40/100

Values & ESG

Does this company touch areas you may want to avoid? The classification is inferred from sector and industry.

None of the checked exposures detected

Similar stocks

10 more Electronic Components stocks, each showing price versus our Fair Value estimate (as of Aug 30, 2026).

Stock Price Fair Value vs Fair Value
Corning Incorporated GLW CHF 134.64 CHF 35.18 −74%
Delta Electronics, Inc 2308 1,750 TWD 602.37 TWD −66%
Luxshare Precision Industry Co 002475 ¥56.06 ¥38.44 −31%
Samsung Electro-Mechanics Co 009150 1,503,000 KRW 172,954 KRW −88%
Suzhou Dongshan Precision Manufacturing Co 002384 ¥202.11 ¥21.19 −90%
TE Connectivity plc TEL $202.66 $144.42 −29%
Shengyi Technology Co 600183 ¥132.80 ¥36.30 −73%
Flex Ltd FLEX $124.53 $48.10 −61%
Celestica Inc CLS $298.70 $113.54 −62%
Shennan Circuits Co 002916 ¥392.90 ¥125.52 −68%

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Frequently asked questions

Is Amphenol Corporation (APH) overvalued or undervalued?
As of Aug 30, 2026, our model estimates a fair value of $97.19 versus a price of $82.07, about +18% upside (undervalued).
What is the fair value of APH?
Our model-based fair value for Amphenol Corporation is $97.19 (as of Aug 30, 2026), built from audited fundamentals. The current price: $82.07.
What is the quality score of APH?
Amphenol Corporation has a Quality Score of 68/100. It measures business quality (profitability, growth, cash flow, balance-sheet strength, investment discipline, share issuance). Market factors such as price momentum and volatility do not enter the number; they are shown separately in the detail view.
What is the revenue of Amphenol Corporation (APH)?
Amphenol Corporation reported trailing-twelve-month revenue of about $25.9B (latest available figure, as of Aug 30, 2026).
What is the net profit margin of APH?
The net profit margin of Amphenol Corporation is about 17.2%, meaning it keeps roughly 17.2% of revenue as net income. Based on the latest reported figures.
Does Amphenol Corporation pay a dividend?
Amphenol Corporation currently shows a dividend yield of about 1.01% relative to its recent price (as of Aug 30, 2026).
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