NASDAQ·US·Asset Management

APOAPO

Banks, insurers and REITs need specialised metrics

Our model uses general-purpose pillars (FCF, EBITDA, debt ratios) that don't fully capture financial-sector economics like Tier-1 capital, NIM, or loan-loss reserves. Read the score directionally, not as gospel.

สรุป

เสี่ยง

ความมั่นใจ 70%
$122.28

Today's session

Upside?
+50.0%
FV $246.69
P/E (TTM)?
22.1
Earnings yield
FCF yield?
Mcap $70.5B

ถือ

Fundamental neutral·Technical neutral

What investors notice

Key signs

Plain-language read of the metrics that matter most for this stock.

Strongly positive
5 · 1 · 1

Strengths

5
  • Gross margin trending up
  • Strong free-cash-flow compounding24%
  • Net cash on the balance sheet-23.8×
  • Trading well below consensus fair value50%
  • Analyst consensus heavily Buy-skewed

Risks

1
  • Inconsistent profitability3/10

Watchlist

1
  • Long-term debt rising — monitor leverage
$122.28-9.7%

1Y · period change vs 2025-04-29

Score history (10y)

How quality has trended through cycles.

+2 YoY

Verdict bands: 85+ Wonderful · 70 Solid · 55 Average · 40 Risky.

Fair value range

4 of 5 models · trimmed-mean consensus

Consensus FV
$246.69
Upside
+50.0%
Now $122.28
Our FV$246.69
Price$122.28
$0.00$536.23

Open the Fair Value tab to tweak WACC and growth, and to see all five model outputs side-by-side.

10-year financials

Annual revenue, profit, and free cash flow with year-over-year growth overlay.

YoY growth overlaid

Snapshot

At a glance

Top-line figures most investors check first.

Market cap
$70.5B
P/E (TTM)?
22.1
FCF yield?
Dividend
$2.04
1.7% yield
52w range
$100.30$154.24
Score confidence
70%
Data completeness

Last updated 4/30/2026, 5:19:17 AM · Data via Yahoo Finance, FMP, EDGAR. Disclaimer