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Amphenol Corporation
Amphenol Corporation

Amphenol Corporation (APH)

24HHigh$160.3824HLow$154.96
$155.99
-0.01%

Last updated: 2026-07-14 11:00:31

K-Line Chart, actual market data is subject to the trading page.

Key Data

Prev. Open
$158.34
Prev. Close
$155.99
Prev. Day's Range
$154.96 - $160.38
52W Range
$94.55 - $178.52
Trading Volume
3.738M
MC
$195.681B
P/E Ratio
45.7x
EPS
$3.48

Company Overview

NYSE

Amphenol Corporation is a major producer of electronic and fiber optic connectors, cable and interconnect systems such as coaxial cables. Amphenol is a portmanteau from the corporation's original name, American Phenolic Corp.

SectorTECHNOLOGY
IndustryELECTRONIC COMPONENTS
Headquarters358 HALL AVENUE, WALLINGFORD, CT, UNITED STATES, 06492
CountryUSA
Listing Date1991-11-08
Fiscal Year Ended2026-03-31
Shares Outstanding1.23B
CIK Code820313

Financial Metrics

Indicator2026-03-312025-12-312025-09-302025-06-30
Income$7.62B$6.439B$6.194B$5.65B
Operating Expenses$4.82B$3.978B$3.835B$3.597B
Net Income$943.3M$1.196B$1.246B$1.091B
Net Profit Margin12.4%18.6%20.1%19.3%
Earnings Per Share$0.73$0.93$0.97$0.86
EBITDA$2.339B$2.027B$1.949B$1.638B
Effective Tax Rate42.7%26.9%23.5%18.3%

Investment Method

Trade Stock Futures (Perpetual Contracts)

Settled in USDT, supports up to 20x leverage, allows for two-way trading (long/short), no need to hold underlying assets, suitable for short-term trend trading and hedging.

Understanding Futures
Stock Futures Module
Futures:APHUSDTUSDT Perpetual Mark Price $--, 24H Chg --%, Funding Rate --%
USDT SettledTwo-way TradingLeverage Risk, No Dividends
Trading de volatilidad de gananciasShort-term Trend TradingHedge Spot Risk
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FAQ

Amphenol Corporation is a leading global provider of interconnect, sensor, and antenna solutions for a wide range of applications and industries. The company specializes in manufacturing connectors, cables, and electronic components used in industries such as automotive, IT and data communications, aerospace and defense, and industrial markets. Its products are crucial for enabling communication, data transfer, and technological functionality across sectors.
Amphenol (APH) is part of the Technology sector and operates within the Electronic Components industry. This industry focuses on designing and manufacturing products that are foundational for various technologies, such as connectors, sensors, and cables, which are integral to sectors like transportation, telecommunications, and industrial equipment manufacturing.
Amphenol's revenue is primarily driven by its sales of interconnect and sensor solutions across major global industries. Key drivers include demand from automotive, industrial, IT and data communications, and aerospace markets, where its high-performance electronic components are essential for operational efficiency, communication systems, and innovative technologies.
Yes, Amphenol faces competition from other major players in the electronic components industry, such as TE Connectivity, Molex (a subsidiary of Koch Industries), and Keysight Technologies. However, Amphenol differentiates itself through its broad product portfolio, global reach, and focus on innovation tailored to specific industry needs.
Amphenol has growth opportunities tied to increasing demand for electronics in emerging sectors like electric vehicles (EVs), 5G infrastructure, and industrial automation. Its wide-ranging product applications and strong customer relationships position the company to benefit from trends in advanced connectivity and sensor technologies. However, investors should consider macroeconomic risks like supply chain challenges and fluctuations in global demand.
Yes, Amphenol (APH) pays dividends, making it attractive to income-focused investors. The company has a history of consistent dividend payouts, reflecting its stable financial performance. However, dividend amounts may vary and should be reviewed as part of shareholders' ongoing evaluation.
Amphenol faces risks such as reliance on cyclical industries, potential disruptions in global supply chains, and competitive pressures within the electronic components market. Additionally, macroeconomic factors like currency fluctuations and trade regulations could impact operational costs and profitability. Investors should weigh these risks against the company’s strength in innovation and diverse end-market exposure.
Amphenol's valuation metrics, such as price-to-earnings (P/E) ratio, should be assessed relative to industry peers like TE Connectivity and Molex. While the company’s strong market presence and diversified portfolio often support robust valuations, investors are encouraged to compare its growth prospects, profitability, and competitive positioning within the electronic components industry.
Risk Warning
  1. 1.Stock prices may fluctuate significantly; invest with caution. Past performance is not indicative of future results.
  2. 2.Digital asset trading involves multiple risks, including market and technical risks. Please make rational decisions and allocate assets wisely.
  3. 3.The information contained on this page is for reference only and does not constitute any investment advice.