INTCUSTechnology
Intel Corporation
📊 Semiconductors
Day $86
$94 Overbought
52W $19
$94 Overbought
$92.75
▲ $8.20 (+9.70%)
Vol: 133,173,120 · Avg: 101,599,219
As of April 29, 2026 · 16:16 ET
COMPOSITE RISK SCORE
32 HIGH RISK
VAL:6/25 · FIN:0/25 · GRO:8/25 · TECH:18/25
📈 P/E RATIO
63.0x
Trailing
📖 P/B RATIO
4.1x
Price to Book
💰 EPS
$-0.60
TTM
🏛 MARKET CAP
$466.2B
Large Cap
📊 ROE
-2.9%
Return on Equity
📈 REV GROWTH
7.2%
YoY
🏢 Company Analysis · Intel Corporation
💼 BUSINESS MODEL
  • Intel Corporation designs, develops, manufactures, markets, sells, and services computing and related end products and services in the United States, Ireland, Israel, and internationally..
  • It operates through three segments: CCG, DCAI, and Intel Foundry..
  • The company offers client computing group products, including client and commercial CPUs, discrete client GPUs, edge computing, and connectivity products; data center and AI products, such as server CPUs, discrete GPUs, and networking products; and semiconductors comprising wafer fabrication, substrates, and other related products and services..
  • It also provides driving assistance and self-driving solutions; and develops and manufactures multi-beam mask writing tools..
  • Operates in Semiconductors within the Technology sector.
  • Workforce of 85,100 employees.
🏰 MOAT & COMPETITION
  • Mega-cap ($466B) — dominant market position with significant scale advantages.
🚀 CATALYSTS
  • No specific near-term catalysts identified from available data.
⚖️ ASYMMETRY CHECK
  • Analyst target range: $20 — $111 (mean $75, 41 analysts).
  • Unfavorable asymmetry — limited upside +20% vs downside -78% (0.3x).
  • P/E of 63.0x — premium valuation, growth must sustain to avoid de-rating risk.
🔭 FUTURE OUTLOOK
  • Analyst consensus: Hold (41 analysts).
VALUATION
6/25
25% WEIGHT
  • P/E at 63x
  • P/B at 4.1x
  • Analyst target: $75.42 (-18.7%)
  • 1Y return: +356.0%
FINANCIAL HEALTH
0/25
25% WEIGHT
  • ROE: -2.9%
  • Profit margin: -5.9%
  • Revenue growth: 7.2%
  • Debt/Equity: 36%
GROWTH
8/25
25% WEIGHT
  • Revenue growth: 7.2%
  • Earnings growth: 0.0%
  • Beta: 1.35
  • Sector: Technology
TECHNICAL
18/25
25% WEIGHT
  • RSI, MACD, MA crossovers
  • 200 DMA & 50 EMA position
  • Volume trend analysis
  • Price momentum signals
📈 Price Movement
🕯 Candlestick Chart
🎯 Price Prediction · Analyst Target Cone
📉 Valuation Trends (at current CMP)
266.7 210.2 153.7 97.1 40.6 2022 2023 2022: 47.8 2023: 231.9 231.9
💎 Valuation & Financial Metrics
P/E RATIO
63.0x
Trailing twelve months
P/B RATIO
4.1x
Price to Book value
ROE
-2.9%
Return on Equity
PROFIT MARGIN
-5.9%
Net profit margin
OPM
6.9%
Operating profit margin
ANALYST TARGET
$75.42
Range: $20.40 - $111.00
PEG RATIO
1.36
Price/Earnings to Growth
EV/EBITDA
31.8x
Enterprise value ratio
CURRENT RATIO
2.31
Liquidity measure
DIVIDEND YIELD
N/A
Annual yield
ROA
0.6%
Return on Assets
GROSS MARGIN
37.2%
Gross profit margin
SECTOR BENCHMARKS — SEMICONDUCTORS
P/E (fair) 35.0x (sector mid)
P/B (fair) 8.0x (sector mid)
ROE (good) 25% (sector target)
OPM (good) 25% (sector target)
D/E comfort <20 (sector)
📋 Quarterly Performance Trend
QuarterRevenueQoQ %Net ProfitQoQ %Op. Cash FlowEBITDA Margin
Q1 '25 $12.7B $-821.0M $813.0M 18.8%
Q2 '25 $12.9B+1.5% $-2.9B-255.4% $2.0B 3.7%
Q3 '25 $13.7B+6.2% $4.1B+239.2% $2.5B 57.5%
Q4 '25 $13.7B+0.2% $-591.0M-114.5% $4.3B 26.7%
Q1 '26 $13.6B-0.7% $-3.7B-530.8% $1.1B -4.0%
📊 Year-on-Year Trend
FYRevenueYoY %Net ProfitYoY %Op. Cash FlowYoY %
2022 $63.1B $8.0B $15.4B
2023 $54.2B-14.0% $1.7B-78.9% $11.5B-25.7%
2024 $53.1B-2.1% $-18.8B-1210.5% $8.3B-27.7%
2025 $52.9B-0.5% $-267.0M+98.6% $9.7B+17.0%
📈 Revenue vs Earnings
💰 How Intel Corporation Makes Its Money
Revenue $13.6B Cost of Revenue $8.2B Gross Profit $5.3B R&D $3.4B SG&A $1.0B Operating Inc. $934M Tax $335M Interest $264M Other $5.2B Net Income -$3.7B (-27.5% margin) Mar 2026 · All values in $ Millions
🏦 Snapshot of Intel Corporation's Balance Sheet
Total Assets $205.3B Cash & Equiv.: $17.2B (8.4%) Receivables: $4.1B (2.0%) Inventory: $12.4B (6.1%) Other Current: $28.4B (13.8%) PP&E: $104.5B (50.9%) Goodwill: $20.5B (10.0%) Other Intangibles: $2.7B (1.3%) Other Non-Curr.: $15.5B (7.6%) Liab. + Equity $205.3B Current Liab.: $26.9B (13.1%) Long-Term Debt: $43.0B (21.0%) Other Liab.: $10.4B (5.1%) Equity: $125.0B (60.9%) As of Mar 2026 · All values in $ Millions
💸 Looking into Intel Corporation's Cash Flow
Operating CF $1.1B Capital Exp. $3.6B FY2026 · All values in $ Millions
🎯 EPS: Estimate vs Actual
📅 Quarterly Results Source: Yahoo Finance ↗
ItemMar '26Dec '25Sep '25Jun '25Mar '25
Total Revenue$13.58B$13.67B$13.65B$12.86B$12.67B
Cost of Revenue$8.23B$8.73B$8.44B$9.32B$8.00B
Gross Profit$5.35B$4.94B$5.22B$3.54B$4.67B
Operating Expense$4.41B$4.39B$4.36B$4.83B$4.82B
Operating Income$934.0M$550.0M$858.0M$-1.29B$-145.0M
Interest Expense$264.0M$283.0M$282.0M$227.0M$299.0M
Pretax Income$-3.95B$338.0M$4.57B$-2.77B$-586.0M
Tax Provision$335.0M$671.0M$304.0M$255.0M$301.0M
Net Income$-3.73B$-591.0M$4.06B$-2.92B$-821.0M
EBITDA$-546.0M$3.65B$7.85B$471.0M$2.39B
EPS (Basic)$-0.73$-0.12$0.90$-0.67$-0.19
EPS (Diluted)$-0.73$-0.12$0.90$-0.67$-0.19
Shares Outstanding5.08B4.86B4.53B4.37B4.34B
📊 Profit & Loss Statement Source: Yahoo Finance ↗
ItemDec '25Dec '24Dec '23Dec '22
Total Revenue$52.85B$53.10B$54.23B$63.05B
Cost of Revenue$34.48B$35.76B$32.52B$36.19B
Gross Profit$18.38B$17.34B$21.71B$26.87B
Operating Expense$18.40B$22.05B$21.68B$24.53B
Operating Income$-23.0M$-4.71B$31.0M$2.34B
Interest Expense$1.09B$1.03B$878.0M$496.0M
Pretax Income$1.56B$-11.21B$762.0M$7.77B
Tax Provision$1.53B$8.02B$-913.0M$-249.0M
Net Income$-267.0M$-18.76B$1.69B$8.01B
EBITDA$14.35B$1.20B$11.24B$21.30B
EPS (Basic)$-0.06$-4.38$0.40$1.95
EPS (Diluted)$-0.06$-4.38$0.40$1.94
Shares Outstanding4.53B4.28B4.21B4.12B
🏦 Balance Sheet Source: Yahoo Finance ↗
ItemDec '25Dec '24Dec '23Dec '22Dec '21
Total Assets$211.43B$196.49B$191.57B$182.10B
Current Assets$63.69B$47.32B$43.27B$50.41B
Cash & Equivalents$14.27B$8.25B$7.08B$11.14B
Accounts Receivable$3.84B$3.48B$3.40B$4.13B
Inventory$11.62B$12.20B$11.13B$13.22B
Non-Current Assets$147.74B$149.16B$148.30B$131.70B
Property Plant & Equip$105.41B$107.92B$96.65B$80.86B
Goodwill$23.91B$24.69B$27.59B$27.59B
Intangible Assets$26.68B$28.38B$32.18B$33.61B
Total Liabilities$85.07B$91.45B$81.61B$78.82B
Current Liabilities$31.57B$35.67B$28.05B$32.16B
Accounts Payable$9.88B$12.56B$8.58B$9.60B
Short-Term Debt$2.50B$3.73B$2.29B$4.32B
Long-Term Debt$44.09B$46.28B$46.98B$37.68B
Total Equity$126.36B$105.03B$109.97B$103.29B
Retained Earnings$48.98B$49.03B$69.16B$70.41B
Book Value/Share87.60B70.89B73.41B67.81B
💰 Cash Flow Statement Source: Yahoo Finance ↗
ItemDec '25Dec '24Dec '23Dec '22Dec '21
Operating Cash Flow$9.70B$8.29B$11.47B$15.43B
Depreciation & Amort.$11.71B$11.38B$9.60B$13.04B
Change in Working Cap$-1.75B$1.10B$-569.0M$339.0M
Capital Expenditure$-14.65B$-23.94B$-25.75B$-24.84B
Free Cash Flow$-4.95B$-15.66B$-14.28B$-9.41B
Investing Cash Flow$-14.82B$-18.26B$-24.04B$-10.23B
Acquisitions$-82.0M$-13.0M$-681.0M$-209.0M
Financing Cash Flow$11.59B$11.14B$8.51B$1.11B
Debt Issued$0$2.98B$11.39B$6.55B
Debt Repaid$-3.75B$-2.29B$-423.0M$-4.98B
Dividends Paid$0$-1.60B$-3.09B$-6.00B
Share Buyback$0$0$-2.42B
Net Change in Cash$6.46B$1.17B$-4.07B$6.32B
📈 Key Financial Ratios
RatioFY2025FY2024FY2023FY2022
Gross Margin %34.8%32.7%40.0%42.6%
Operating Margin %-0.0%-8.9%0.1%3.7%
Net Margin %-0.5%-35.3%3.1%12.7%
EBITDA Margin %27.2%2.3%20.7%33.8%
ROE %-0.2%-17.9%1.5%7.8%
ROA %-0.1%-9.5%0.9%4.4%
Debt/Equity %36.9%47.6%44.8%40.7%
Current Ratio2.021.331.541.57
FCF Margin %-9.4%-29.5%-26.3%-14.9%
Asset Turnover0.250.270.280.35
🚀 Compounded Growth Rates
Revenue
1-Year-0.5%
3-Year CAGR-1.3%
🏭 Industry Peers — Semiconductors
TickerCompanyPriceP/EP/BMCapROEMarginRev Growth
AAPLApple Inc.$269.0434.144.9$3,949.7B152.0%27.0%15.7%
MSFTMicrosoft Corporation$424.2126.68.1$3,152.9B34.4%39.0%16.7%
GOOGLAlphabet Inc.$350.5732.410.2$4,241.1B35.7%32.8%18.0%
METAMeta Platforms, Inc.$672.0528.67.8$1,705.9B30.2%30.1%23.8%
NVDANVIDIA Corporation$210.4442.932.5$5,114.6B101.5%55.6%73.2%
ORCLOracle Corporation$162.8429.214.0$468.3B57.6%25.3%21.7%
CRMSalesforce, Inc.$180.2323.12.8$147.4B12.4%18.0%12.1%
ADBEAdobe Inc.$241.4914.18.6$97.6B58.8%29.5%12.0%

Peers selected from Technology sector · Data from Yahoo Finance

🏛 Shareholding Pattern
TOP HOLDERS
HolderTypeShares% Held
Blackrock Inc.Inst432,155,8248.60%
Vanguard Group IncInst404,522,3088.05%
Nvidia Corp Inst214,776,6324.27%
State Street CorporationInst208,536,7844.15%
Capital World InvestorsInst104,060,2682.07%
VANGUARD INDEX FUNDS-Vanguard TotalMF127,428,6092.54%
VANGUARD INDEX FUNDS-Vanguard 500 IMF113,067,9542.25%
Invesco QQQ Trust, Series 1MF101,464,8862.02%
🟢 CATALYSTS
🏆Positive Revenue Growth: Revenue growing at 7.2% YoY.
💹Sector Opportunity: Technology / Semiconductors — positioned in growth sector.
🔴 RISKS
📜Elevated P/E (63.0x): Above sector expensive threshold of 60x.
💰High Beta (1.35): More volatile than market — higher swing risk.
🔓Below Analyst Target: CMP above mean target — limited upside consensus.
Loss-Making: Negative profit margin — path to profitability unclear.
🕸 Factor Analysis · Radar
Momentum 8/10: 1M +125.2%, 6M +124.4%, RSI 86, MACD bullish, Above 200DMA Sentiment 3/10: Analyst upside -18.7%, Rec: hold Value 4/10: P/B 4.1, PEG 1.36, EV/EBITDA 31.8 Quality 2/10: ROE -2.9%, Margin -5.9%, D/E 36, CR 2.31 Low Volatility 1/10: Beta 1.35, Ann. vol 68% Momentum 8 Sentiment 3 Value 4 Quality 2 Low Vol 1
Momentum 8/10
1M +125.2%, 6M +124.4%, RSI 86, MACD bullish, Above 200DMA
Sentiment 3/10
Analyst upside -18.7%, Rec: hold
Value 4/10
P/B 4.1, PEG 1.36, EV/EBITDA 31.8
Quality 2/10
ROE -2.9%, Margin -5.9%, D/E 36, CR 2.31
Low Volatility 1/10
Beta 1.35, Ann. vol 68%
🎯 Decision Matrix — Game Theory
ActionIf Stock RisesIf Stock Falls
BUYBenefit from potential re-ratingFundamentals provide base support
HOLDRetain existing position; wait for better entryMiss further upside if momentum continues; 1M return of +125.2% shows momentum
SELLLock in +356.0% 1Y returnAvoid further drawdown
REASONS TO BUY
  • Limited strong buy signals at current levels
REASONS TO SELL / AVOID
  • P/E of 63.0x exceeds sector expensive threshold of 60x
  • 1Y return of +356.0% — profit booking opportunity
  • Trading above analyst target — consensus sees -18.7% downside
RECOMMENDATION
SELL
COMPOSITE SCORE
32/100
Intel Corporation trades at $92.75 with a composite risk score of 32/100. The stock scores 6/25 on valuation, 0/25 on financial health, 8/25 on growth, and 18/25 on technicals. The company is currently loss-making with negative return on equity.

The stock is trading near or above analyst consensus targets. Revenue growth is at 7.2%.

Bottom Line: Elevated risk for Technology — consider exiting. The current recommendation is SELL.
EXPENSIVE VOLATILE LOSS-MAKING