No connection

Search Results

ERIC

NEUTRAL
$11.85 Live
Telefonaktiebolaget LM Ericsson (publ) · NASDAQ
Target $10.65 (-10.1%)
$6.93 52W Range $12.12

At a glance

Key valuation, profitability, growth, and risk metrics.

Updated Apr 09, 2026
Market cap
$39.5B
P/E
13.17
ROE
28.3%
Profit margin
12.0%
Debt/Equity
0.37
Dividend yield
2.76%

AI Analysis

AI-powered fundamental assessment

Confidence
90%
ERIC shows neutral fundamentals based on deterministic rules. Financial strength is weak (F-Score 3/9). Mixed signals with both opportunities and risks present.

Key Strengths

Attractive valuation with P/E of 13.2
Undervalued vs Graham Number ($24.97)
Low debt with D/E ratio of 0.37

Key Risks

Weak financial trend (Piotroski F-Score: 3/9)
Declining revenue (-5.0%)
AI Fair Value Estimate
Based on comprehensive analysis
$26.55
+124.1% above current price

Performance Snowflake

Multi-dimensional analysis across 5 key categories

Overall
53
Moderate
Value
75
Future
45
Past
60
Health
35
Dividend
50
AI Verdict
ERIC shows neutral fundamentals based on deterministic rules. Financial strength is weak (F-Score 3/9). Mixed signals with both opportunities and risks present.
Key drivers: Attractive valuation with P/E of 13.2, Undervalued vs Graham Number ($24.97), Weak financial trend (Piotroski F-Score: 3/9)
Confidence
50%
Value
75/100

Rule-based valuation (P/E + Graham).

Positives
  • Trades at attractive 13.2x trailing earnings.
  • Trades below Graham Number.
Watchpoints
No urgent risks highlighted.
Future
45/100

Rule-based growth outlook.

Positives
  • Growth-implied value exceeds price.
Watchpoints
  • Revenue is contracting.
Past
60/100

Historical performance + price trend: Shares moved +2.0% over 5Y and +80.9% over 1Y.

Positives
  • ROE sits at 28.3%.
Watchpoints
No urgent risks highlighted.
Health
35/100

Balance sheet & liquidity (Z-Score: N/A).

Positives
  • Low D/E ratio (0.37).
Watchpoints
No urgent risks highlighted.
Dividend
50/100

Dividend policy fallback.

Positives
  • Moderate dividend profile (Score: 50/100).
  • Yield: 2.8%.
Watchpoints
No urgent risks highlighted.

Stock Price & Analyst Targets

Real-time price movements and analyst price targets

Current Price
$11.85
Analyst Target
$10.65
Upside/Downside
-10.1%

Multi-Horizon Performance vs Peers

Price momentum across 5Y → 1W horizons for ERIC and closest competitors.

Updated 2026-04-08
ERI
Telefonaktiebolaget LM Ericsson (publ)
Primary
5Y
+2.0%
3Y
+126.1%
1Y
+80.9%
6M
+40.8%
1M
+6.0%
1W
+5.0%
PAY
Paychex, Inc.
Peer
5Y
+38.6%
3Y
+0.9%
1Y
-20.7%
6M
-26.9%
1M
-11.2%
1W
+0.1%
FIC
Fair Isaac Corporation
Peer
5Y
+268.0%
3Y
+182.5%
1Y
-25.0%
6M
-20.9%
1M
+6.4%
1W
+0.1%
DDO
Datadog, Inc.
Peer
5Y
+35.4%
3Y
+62.5%
1Y
+19.0%
6M
-17.1%
1M
+6.2%
1W
-3.7%
ASX
ASE Technology Holding Co., Ltd.
Peer
5Y
+238.7%
3Y
+199.9%
1Y
+83.8%
6M
+84.7%
1M
+24.7%
1W
-0.1%

Positive values indicate cumulative gains over the specified period. Comparables pulled from the same sector to highlight whether momentum is stock-specific or industry-wide.

Historical Performance Trends

Long-term financial metrics and growth patterns

Revenue & Net Income

Profit & Operating Margins

Return on Equity (ROE)

Quarterly Revenue Growth

Historical data shows last 12 quarters (3 years)

Valuation Metrics

Key valuation ratios and pricing indicators

P/E Ratio
13.17
Forward P/E
17.24
PEG Ratio
N/A
P/B Ratio
0.38
P/S Ratio
N/A
EV/Revenue
N/A
EV/EBITDA
N/A
Market Cap
$39.5B

Profitability

Profit margins and return metrics

Profit Margin 12.01%
Operating Margin N/A
Gross Margin 48.14%
ROE 28.26%
ROA 7.08%

Growth

Revenue and earnings growth rates

Revenue Growth -5.0%
Earnings Growth +79.2%
Q/Q Revenue Growth -4.98%
Q/Q Earnings Growth +79.2%

Financial Health

Balance sheet strength and liquidity metrics

Debt/Equity
0.37
Low debt
Current Ratio
1.29
Good
Quick Ratio
1.03
Good
Cash/Share
$N/A

Financial Statement Flow

Interactive flow visualization showing how money moves through the company Q4 2025

Revenue
$69.3B
Gross Margin
47.2%
Op. Margin
4.5%
Net Margin
12.4%
Total Assets
$279.2B
Liabilities
$169.0B
Equity
$109.5B
Debt/Equity
1.54x
Operating CF
$16.5B
CapEx
$-1.2B
Free Cash Flow
$15.3B
FCF Yield
93%

Quarterly Earnings History

EPS performance vs analyst estimates

2026-04-17
$N/A
2026-01-23
$0.31
+26.4% surprise
2025-10-14
$0.36
+191.8% surprise
2025-07-15
$0.16
+16.6% surprise

Technology Sector Comparison

Comparing ERIC against 194 companies in the Technology sector (18 bullish, 79 neutral, 97 bearish)
P/E Ratio
13.17
This Stock
vs
59.14
Sector Avg
-77.7% (Discount)
Return on Equity (ROE)
28.26%
This Stock
vs
-30.93%
Sector Avg
-191.4% (Below Avg)
Profit Margin
12.01%
This Stock
vs
-8.53%
Sector Avg
-240.8% (Weaker)
Debt to Equity
0.37
This Stock
vs
0.79
Sector Avg
-53.6% (Less Debt)
Revenue Growth
-5.0%
This Stock
vs
12692.83%
Sector Avg
-100.0% (Slower)
Current Ratio
1.29
This Stock
vs
3.93
Sector Avg
-67.1% (Weaker)

Similar Companies

Peer comparison within the same industry

Wall Street Analysts

Professional analyst ratings and price targets

Consensus
HOLD
6 analysts
Morgan Stanley
2026-02-09
init
Equal-Weight

Past News Coverage

Recent headlines mentioning ERIC from our newsroom.

Newest → oldest
TradingGPT V2 Copilot
Fundamentals • Valuation • Risk
Hi! I'm your fundamentals copilot.

Ask me to:
• Summarize the business quality
• Review valuation and multiples
• Highlight risks and red flags
• Explain growth and margin trends
Home
Terminal
AI
Markets
Profile