Market Cap
$3.66T
-1.47% this week
52 Week Range
$169.21 - $288.62
High: Dec 3, 2025
P/E Ratio (TTM)
31.60
vs 25.74 median
EPS (TTM)
$7.91
+25.4% YoY
Revenue (FY2025)
$416.16B
+9.05% YoY
Dividend Yield
0.40%
$0.26/share

Price History

Last 12 Months

Key Financial Ratios

Price-to-Earnings (P/E)
31.60
Current vs 13-year median: 25.74
Price-to-Sales (P/S)
8.53
Industry average: ~6.5
Price-to-Book (P/B)
41.44
Reflects strong brand value
PEG Ratio (5yr expected)
2.21
Growth-adjusted valuation
EV/EBITDA
24.06
Enterprise value multiple
Return on Equity (ROE)
67.72%
Exceptional capital efficiency

Revenue & Earnings Growth

Revenue Growth (YoY)
+10.07%
Earnings Growth (YoY)
+25.40%
Gross Margin
47.33%
Free Cash Flow Yield
3.26%

Analyst Ratings

Moderate Buy
Based on 36 analysts
Low Target
$200
Average Target
$297.58
High Target
$350
Implied Upside
+19.53%
Analyst Firm Rating Price Target Upside Date
Daniel Ives Wedbush Buy $350 +39.93% Mar 5, 2026
Erik Woodring Morgan Stanley Buy $315 +26.03% Feb 2, 2026
Rob Chang KGI Securities Buy $306 +22.43% Jan 30, 2026
Mark Newman Bernstein Buy $340 +36.03% Mar 17, 2026
Wamsi Mohan B of A Securities Buy $325 +17.43% Oct 31, 2025
Tim Long Barclays Sell $248 -0.85% Mar 3, 2026
Barton Crockett Rosenblatt Hold $268 +7.15% Mar 5, 2026

Technical Analysis

Updated: Mar 20, 2026

Moving Averages

MA5 $265.62 Sell
MA20 $268.26 Sell
MA50 $264.66 Sell
MA100 $267.80 Sell
MA200 $243.28 Buy

RSI (14)

46.02
Neutral Zone
Oversold
0-30
Neutral
30-70
Overbought
70-100

Support & Resistance Levels

Support Levels
$257.09 Weekly Trend Line
$245.27 - $248.03 Multi-timeframe Zone
$210.82 Weekly Trend Line
Resistance Levels
$258.82 - $266.56 Multi-timeframe Zone
$273.81 Daily Horizontal
$278.85 - $278.86 Weekly Trend Lines
$286.19 - $286.20 Daily Trend Lines

Technical Indicators

MACD (12,26) 0.18 Buy
CCI (14) -61.27 Neutral
Williams %R (14) -65.78 Buy
ATR (14) 2.2 -

Pivot Points (Classic)

R3 $249.64
R2 $249.10
R1 $248.75
Pivot $248.21
S1 $247.86
S2 $247.32
Technical Summary
Current technical indicators suggest a Neutral to Slightly Bearish short-term outlook. The stock is trading below its 5, 20, and 50-day moving averages but remains above the 200-day MA, indicating longer-term bullish support. RSI at 46.02 suggests neutral momentum. Key support at $245-248 zone; resistance at $258-266 zone.