
Cisco Systems Inc.
CSCO 112.13 (4.24%) 4.76
Market cap
$441.95(B)Earnings date
Nov-11-2026Category
Sector
Information TechnologyIndustry
Communications EquipmentCisco Systems Inc. designs develops and sells technologies that help to power secure and draw insights from the internet in the Americas Europe the Middle East Africa the Asia Pacific Japan and China. The company offers data center switching; network security identity and access management and secure access service edge; threat intelligence detection and response solutions; interconnects public and private wireline and mobile networks delivering connectivity to campus data center and branch networks; WEBEX suite collaboration devices and contact center; communication platform as a service software including perpetual licenses subscription arrangements and hardware solutions; network assurance monitoring and analytics and observability suite; issue resolution software support and hardware replacement; professional services such as planning design implementation and high-value consulting; service and support packages financing and managed network services; and regional national and international wireline carriers webscale products internet and cable. It also delivers connectivity to campus data center and branch networks; wireless products including indoor and outdoor wireless coverage designed for seamless roaming use of voice video and data applications; end-to-end collaboration solutions through cloud on-premise or within hybrid cloud environments transition collaboration solutions from on-premise to the cloud; and network assurance monitoring and analytics and observability suite. In addition it offers technical support and advisory services. The company serves businesses public institutions governments and service providers. It sells its products and services directly through systems integrators service providers resellers and distributors. Cisco Systems Inc. was incorporated in 1984 and is headquartered in San Jose California.
EV: $412.09(B)
Total Equity: $50.28(B)
Debt/Equity: 0.59
Dividend/share: $1.7
Div. yield: 1.48%
P/E: 33.37
Forward P/E: 21.77
P/FCF: 34.72
P/S: 7.00
P/B: 8.81
EPS: $3.4
EPS (fwd): $5.2
FCF/share: $3.2
Revenue/share: $16.0
Book value/share: $12.7
ROIC: 13.6%
ROA: 8.5%
ROE: 22.4%
Margins: Gross | Op. | Net
64.6% | 22.5% | 20.9%
0.0%of Portfolio
My holdings
Day change
Total change
PEvaluation
CURRENT PRICE
$112
3% Overvalued
BEAR
$82
27%
BASE
$109
3%
BULL
$136
21%
Fair P/E
Margin of safety
EPS
EPS Estimates
| Low | Avg | High | # | |
| FY+1 | 5.0 | 5.2 | 5.6 | 25 |
| FY+2 | 5.3 | 5.6 | 6.8 | 25 |
| FY+3 | 5.5 | 6.1 | 7.3 | 12 |
| FY+4 | 8.4 | 8.4 | 8.4 | 1 |
| FY+5 | 9.6 | 9.6 | 9.6 | 1 |
Analyst Price Targets
CURRENT PRICE
$112
20% Undervalued
BEAR
$115
3%
BASE
$135
20%
BULL
$170
52%
Analyst Recommendations
Strong Buy5
Buy13
Hold9
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 | |
