F
254.36
2.61 (1.04%)
Previous Close | 251.75 |
Open | 252.11 |
Volume | 385,917 |
Avg. Volume (3M) | 564,454 |
Market Cap | 14,909,286,400 |
Price / Earnings (TTM) | 26.66 |
Price / Earnings (Forward) | 17.83 |
Price / Sales | 5.36 |
Price / Book | 4.76 |
52 Weeks Range | |
Earnings Date | 27 Jan 2025 - 31 Jan 2025 |
Profit Margin | 20.13% |
Operating Margin (TTM) | 25.84% |
Diluted EPS (TTM) | 9.56 |
Quarterly Revenue Growth (YOY) | 5.60% |
Quarterly Earnings Growth (YOY) | 8.70% |
Total Debt/Equity (MRQ) | 6.89% |
Current Ratio (MRQ) | 1.42 |
Operating Cash Flow (TTM) | 792.42 M |
Levered Free Cash Flow (TTM) | 786.50 M |
Return on Assets (TTM) | 7.77% |
Return on Equity (TTM) | 19.12% |
Market Trend
Short Term | Medium Term | ||
Industry | Software - Infrastructure (US) | Bullish | Bullish |
Software - Infrastructure (Global) | Bullish | Bullish | |
Stock | F5, Inc. | Bullish | Bullish |
AIStockmoo Score
-0.6
Analyst Consensus | -1.5 |
Insider Activity | NA |
Price Volatility | -0.5 |
Technical Moving Averages | -2.5 |
Technical Oscillators | 2.0 |
Average | -0.63 |
F5 is a market leader in the application delivery controller market. The company sells products for security, application performance, and automation. Its three customer verticals are enterprises, service providers, and government entities. Revenue is evenly split between its services business and products business with revenue trending toward products due to software adoption. The Seattle-based firm was incorporated in 1996, and went public in 1999. |
|
Sector | Technology |
Industry | Software - Infrastructure |
Investment Style | Mid Core |
% Held by Insiders | 0.64% |
% Held by Institutions | 96.46% |
52 Weeks Range | ||
Price Target Range | ||
High | 262.00 (Morgan Stanley, 3.00%) | Hold |
Median | 248.00 (-2.50%) | |
Low | 241.00 (Goldman Sachs, -5.25%) | Hold |
Average | 250.83 (-1.39%) | |
Total | 6 Hold | |
Avg. Price @ Call | 245.91 |
Firm | Date | Target Price | Call | Price @ Call |
---|---|---|---|---|
RBC Capital | 03 Jan 2025 | 260.00 (2.22%) | Hold | 254.36 |
29 Oct 2024 | 240.00 (-5.65%) | Hold | 240.33 | |
Morgan Stanley | 17 Dec 2024 | 262.00 (3.00%) | Hold | 259.80 |
29 Oct 2024 | 230.00 (-9.58%) | Hold | 240.33 | |
Barclays | 29 Oct 2024 | 246.00 (-3.29%) | Hold | 240.33 |
Goldman Sachs | 29 Oct 2024 | 241.00 (-5.25%) | Hold | 240.33 |
JP Morgan | 29 Oct 2024 | 250.00 (-1.71%) | Hold | 240.33 |
Piper Sandler | 29 Oct 2024 | 246.00 (-3.29%) | Hold | 240.33 |
No data within this time range.
The support, resistance and trendline levels presented has been generated by an artificial intelligence (AI) model and should be interpreted with caution.
Portfolio
Realized Profit | - |
Unrealized Profit | - |
Dividend Received 2025 | - |
Total Profit | - |
Avg. Return | - |
Quantity (Buy) | - |
Avg. Price (Buy) | - |
Quantity (Sold) | - |
Avg. Price (Sold) | - |