NASDAQTECHNOLOGY

Apple IncAAPL

$257.46 $2.83 (-1.09%)

Apple Inc. is an American multinational technology company that specializes in consumer electronics, computer software, and online services. Apple is the world's largest technology company by revenue (totalling $274.5 billion in 2020) and, since January 2021, the world's most valuable company. As of 2021, Apple is the world's fourth-largest PC vendor by unit sales, and fourth-largest smartphone manufacturer. It is one of the Big Five American information technology companies, along with Amazon, Google, Microsoft, and Facebook.

📐 Graham Intrinsic Value

Current Price
$257.46
Intrinsic Value
$255.76
Overvalued By
0.7%

⚠️ Potentially overvalued by $1.70 per share

Using EPS of $7.90, estimated growth of 14.1%, and a 5.0% bond yield.

What does this mean?

Benjamin Graham's Intrinsic Value formula estimates what a stock is actually worth based on earnings and growth. If the intrinsic value is higher than the current price, the stock may be undervalued.

Formula: V = EPS × (8.5 + 2g) × 4.4 / Y = 7.9 × (8.5 + 2×14.1) × 4.4 / 5.0 = $255.76

📊 Key Metrics

P/E Ratio
32.59
What does this mean?

The P/E ratio tells you how much investors pay for each dollar of earnings. A lower P/E might mean the stock is undervalued — or that growth is slowing. Compare it to the industry average for context.

EPS (TTM)
$7.90
What does this mean?

Earnings Per Share (EPS) shows how much profit the company makes for each share you own. Higher EPS generally means more profitable. If EPS is growing year over year, that's a good sign.

Dividend Yield
0.40%
What does this mean?

Dividend yield tells you what percentage of the stock price you'll get back annually in cash payments. A 3% yield means $3 per year for every $100 invested. Great for passive income.

Market Cap
$3.78T
What does this mean?

Market cap is the total value of all shares. Large-cap ($10B+) companies are usually more stable. Mid-cap ($2-10B) offer growth potential. Small-cap (under $2B) are riskier but can grow fast.

52-Week Low
$168.48
52-Week High
$288.35
Beta
1.12
What does this mean?

Beta measures volatility compared to the market. Beta of 1.0 = moves with the market. Above 1.0 = more volatile (bigger swings). Below 1.0 = more stable. Choose based on your risk tolerance.

Profit Margin
27.00%
What does this mean?

Profit margin shows what percentage of revenue becomes actual profit. Higher is better — it means the company keeps more of each dollar it earns. Compare to industry peers.

📋 Detailed Fundamentals

Forward P/E30.12
PEG Ratio2.30
Book Value$6.00
Price to Book42.86
Return on Equity152.00%
Revenue Growth (YoY)15.70%
Analyst Target Price$292.15
Dividend Per Share$1.03
IndustryCONSUMER ELECTRONICS
SectorTECHNOLOGY

📈 52-Week Range

$168.48$288.35
Current: $257.46
What does this mean?

The 52-week range shows the lowest and highest price over the past year. If the stock is near its low, it might be a bargain — or falling for a reason. Near the high? Momentum is strong, but it might be expensive.

Data provided by Alpha Vantage. Last updated: 3/8/2026, 7:23:21 PM.

This is not financial advice. Always do your own research before investing.