Amphenol Corporation
APHTechnologyNASDAQElectronic Components · Last scanned May 27, 2026
Scan Results
Daily timeframe1 of 4 indicators bullish as of May 27
Amphenol Corporation, together with its subsidiaries, designs, manufactures, and markets electrical, electronic, and fiber optic connectors in the United States, China, and internationally. Valued at $172.53B, APH is a large-cap name in its sector. It operates through three segments: Communications Solutions, Harsh Environment Solutions, and Interconnect and Sensor Systems.
Market Cap
$172.53B
Beta
1.30
P/E (TTM)
40.30
P/E (Fwd)
24.92
EPS (TTM)
$3.48
EPS (Fwd)
$5.63
ROE
36.8%
ROA
13.5%
Cash
$4.58B
Total Debt
$18.75B
Free CF
$3.56B
52W Change
57.7%
Annual Financials
Cash vs Debt
On the balance sheet, APH has $4.58B in cash with $18.75B in obligations. The ability to service this debt comfortably depends on continued operational cash generation. Free cash flow comes in at $3.56B, providing flexibility for reinvestment, buybacks, or dividends. Consistent free cash flow generation is often considered a sign of operational health. ROE of 36.8% points to exceptionally high capital efficiency, indicating how much profit the company produces per dollar of shareholder equity. Return on assets of 13.5% further supports the picture of efficient asset utilization. Revenue has grown from $12.62B (2022) to $23.09B (2025), reflecting a 83% increase over the period.
Investors considering Amphenol Corporation should weigh the typical risks associated with APH's sector, size, and financial profile against their own risk tolerance and investment objectives. These risk factors are not exhaustive — macroeconomic shifts, regulatory changes, and competitive dynamics can all influence Amphenol Corporation's trajectory.