Amphenol Corporation

    Jurisdiction
    United States
    LEI
    549300D3L3G0R4U4VT04
    ISIN
    US0320951017 (APH)
    Sectors
    1. Technology
    2. Hardware, Equipment & Parts

    Scores

    InsiderPie Expert Score
    57 / 100
    Better than peer group:
    49 / 100
    Fair value (Benjamin Graham formula)
    €82.10 32.6% overvalued
    Financial strength (Piotroski F-Value)
    8 / 9
    Fundamental strength relative to industry (Mohanram G-Value)
    5 / 7

    Quick analysis

    Amphenol Corporation: Leading provider of interconnect solutions for diverse industries

    Brief summary for investors: Amphenol is a leading global manufacturer of electrical, electronic, and fiber optic connectors. The company serves key sectors such as automotive, industrial, aerospace, IT, and communications. With a market capitalization of over USD 100 billion, it is an established player in the technology sector.

    Development The share price has shown a clear upward trend over the past five years, rising from approximately EUR 23 (2020) to over EUR 90 (September 2025). This increase in value was driven by consistent revenue and profit growth. Annual revenues increased from USD 8.6 billion (2020) to USD 12.6 billion (2022/2023), while net income grew from USD 1.2 billion to USD 1.9 billion over the same period. Recent quarters show accelerated performance, with revenue jumping from USD 4.0 billion (Q3 2024) to USD 5.7 billion (Q2 2025) and a corresponding increase in EPS. Profitability metrics (ROA, asset turnover) are solid, and liquidity (current ratio > 2) is strong. A negative EBITDA figure in the most recent quarter represents a significant deviation from historical performance and requires explanation.

    Opportunities: The company is optimally positioned to benefit from several long-term megatrends. These include increasing electrification and connectivity in the automotive sector (EVs, ADAS), the expansion of 5G and network infrastructure, as well as growth in industrial automation and aerospace. High free cash flow generation (most recently USD 1.7 billion in the quarter) offers tremendous flexibility for strategic acquisitions, investments in innovation, and capital returns to shareholders.

    Risks: The recent extensive share sales by several senior executives (insiders) could be negatively interpreted by market participants and indicate possible internal valuation decisions. The company's strong dependence on global supply chains and production sites (especially China) makes it vulnerable to geopolitical tensions and trade disruptions. A sudden negative EBITDA in the last quarter, despite record-high revenues and EBIT, indicates possible unusual special expenses or accounting changes and represents a short-term operational risk that must be monitored. Economic downturns in core markets (e.g., automotive, industrial) could dampen demand for connectivity solutions.

    Additional Information: The share prices are quoted in EUR, but the financial metrics are in USD. Exchange rate movements may therefore impact performance from the perspective of a euro investor. Key metrics such as return on equity (ROE) and debt-to-equity are not available for the current reporting period, which makes a complete assessment of the capital structure difficult.

    Conclusion: Amphenol has an impressive historical track record of strong growth, profitability, and cash flow, and is well positioned to benefit from key technology trends. However, recent insider selling and the abnormally negative EBITDA in the last quarter are warning signs that require a closer investigation into the underlying causes. For long-term investors, the company remains attractive due to its market position and growth drivers, but should be monitored closely for upcoming quarterly reports.

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    Profile

    Amphenol Corporation, together with its subsidiaries, primarily designs, manufactures, and markets electrical, electronic, and fiber optic connectors in the United States, China, and internationally. Read full profile

    Fundamentals

    Net revenue
    €16.05B
    Gross margin
    34.7%
    EBIT
    €3.60B
    EBIT margin
    22.4%
    Net income
    €2.71B
    Net margin
    16.9%

    Statement period: - (published )

    Estimates

    Fiscal Year Net revenue Net income
    €20.59B +28.3% €3.76B +38.6%
    €22.65B +10.0% €4.29B +14.0%
    €26.60B +17.4% €5.11B +19.1%

    Stock price

    Stock price loading... No stock price available Stock price provided by Lang & Schwarz Steigende Zinsen und niedrigere Bewertungen für Wachstumsaktien im Allgemeinen Eine Gewinnwarnung beim Konkurrenten Adyen signalisiert eine Abkühlung des europäischen Markts für Zahlungsdienstleistungen. Eine Gewinnwarnung von Wordline SA triggert einen massiven Kursverlust.

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    Dividends

    Last dividend amount
    $0.17
    Ex date
    Payment date
    Dividend payout ratio
    23.0%

    Analyst ratings

    No analyst ratings available

    Insider Transactions

    Name Title Transaction Date Shares Price Value
    Lampo Craig A SR VP & CFO -40K $110.56 -$4.43M
    Silverman David M Senior VP, Human Resources -100K $110.42 -$11.04M
    Lampo Craig A SR VP & CFO -200K $110.43 -$22.07M
    D'AMICO LANCE E Sr. VP, Secretary & GenCounsel -130K $110.65 -$14.38M
    Doherty William J President, CS Division -226K $109.59 -$24.77M

    Congress transactions

    Name Transaction date Value
    Val Hoyle October 10, 2025 $1.00K–$15.00K
    Val Hoyle September 12, 2025 $1.00K–$15.00K
    Byron Donalds May 24, 2025 $1.00K–$15.00K
    Robert Bresnahan May 8, 2025 $1.00K–$15.00K
    James Comer January 10, 2025 $1.00K–$15.00K

    Investor transactions

    Name Shares Value Last change Change type
    Nancy Zevenbergen 176K $17.36M -220 Sell

    Earnings Calls

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