
Broadcom Inc.
AVGO 376.51 (0.23%) 0.88
Market cap
$1.80(T)Earnings date
Dec-10-2026Category
Sector
Information TechnologyIndustry
Semiconductors and Semiconductor EquipmentBroadcom Inc. designs develops and supplies various semiconductor devices and infrastructure software solutions internationally. The company operates in two segments: Semiconductor Solutions and Infrastructure Software. The company offers networking connectivity such as custom silicon solutions ethernet switching & routing ethernet NIC controllers physical layer devices and fiber optic components; wireless device connectivity including RF semiconductor devices connectivity solutions custom touch controllers and inductive charging ASICS; servers and storage system solutions such as PCIE switches SAS & raid products fibre channel products and HDD & SSD solutions; broadband solutions includes set-top box and broadband access; and industrial. The company also offers a private cloud software portfolio including the VMware Cloud Foundation Edge vSphere foundation telco cloud platform private AI live recovery application networking and security application development and data services; mainframe software such as AIOPS & automation database & data management DEVX & DEVOPS cybersecurity & compliance management beyond code programs foundational & open mainframe solutions; cybersecurity such as endpoint network information application security and identity & access management; enterprise software; and fc san management. Its products are used in various applications in enterprise and data center networking including artificial intelligence networking and connectivity home connectivity set-top boxes broadband access telecommunication equipment wireless device and base stations data center servers and storage systems factory automation power generation and alternative energy systems and electronic displays. Broadcom Inc. was founded in 1961 and is headquartered in Palo Alto California.
EV: $1.54(T)
Total Equity: $99.69(B)
Debt/Equity: 0.60
Dividend/share: $2.6
Div. yield: 0.69%
P/E: 46.71
Forward P/E: 32.29
P/FCF: 45.64
P/S: 20.06
P/B: 18.03
EPS: $8.1
EPS (fwd): $11.7
FCF/share: $8.3
Revenue/share: $18.8
Book value/share: $20.9
ROIC: 16.4%
ROA: 13.7%
ROE: 31.0%
Margins: Gross | Op. | Net
75.5% | 40.8% | 42.9%
0.0%of Portfolio
My holdings
Day change
Total change
PEvaluation
CURRENT PRICE
$377
88% Undervalued
BEAR
$505
34%
BASE
$706
88%
BULL
$948
152%
Fair P/E
Margin of safety
EPS
EPS Estimates
| Low | Avg | High | # | |
| FY+1 | 11.3 | 11.7 | 12.4 | 46 |
| FY+2 | 17.5 | 19.4 | 22.4 | 47 |
| FY+3 | 25.2 | 30.6 | 34.3 | 33 |
| FY+4 | 30.5 | 40.7 | 50.5 | 4 |
| FY+5 | 34.1 | 47.7 | 64.0 | 3 |
Analyst Price Targets
CURRENT PRICE
$377
42% Undervalued
BEAR
$216
43%
BASE
$535
42%
BULL
$715
90%
Analyst Recommendations
Strong Buy7
Buy40
Hold3
Sell0
Strong Sell0
2-stage DCF
First Stage Duration: 5 Years | |
| Starting Free Cash Flow | |
First Stage Growth Rate | |
% Low Mid High | |
Terminal Growth Rate | |
% Low Mid High | |
| Discount Rate | |
Discounted Cash Flow
Forecast years: 5 Years | |
Terminal Growth Rate | |
% Low Mid High | |
| Discount Rate | |
Free cash flow estimates:
Y+1 est.
Y+2 est.0.00%
Y+3 est.0.00%
Y+4 est.0.00%
Y+5 est.0.00%
Discounted Cash Flow (exit mult.)
Forecast years: 5 Years | |
Exit FCF Multiple | |
x Low Mid High | |
| Discount Rate | |
Free cash flow estimates:
Y+1 est.
Y+2 est.0.00%
Y+3 est.0.00%
Y+4 est.0.00%
Y+5 est.0.00%
Dividend Discount Model
| Annual Dividend | |
First Stage Length (Years): 0 Years | |
First Stage Growth Rate | |
% Low Mid High | |
Final Growth Rate | |
% Low Mid High | |
| Discount Rate | |
EPS Growth
Forecast years: 5 Years | |
| Starting EPS | |
EPS Growth Rate | |
% Low Mid High | |
Final P/E | |
x Low Mid High | |
| Discount Rate | |
Revenue Growth Valuation
Forecast Years: 10 Years | |
| Base Revenue | |
Revenue Growth Rate | |
% Low Mid High | |
Final Net Margin | |
% Low Mid High | |
Final P/E Ratio | |
x Low Mid High | |
| Discount Rate | |
Peter Lynch Fair Value
| Earnings Per Share | |
Growth Rate | |
% Low Mid High | |
Graham Formula
| Earnings Per Share | |
EPS Growth (7-10 years) | |
% Low Mid High | |
| Government Bond Rate | |
