The earnings growth rate we use in the formula is the average growth rate of net income/earnings over the last 5 years. If the average growth rate is smaller than 5%, we set it to 5%. If it is larger than 25%, we set it to 25%. If the TTM EPS is negative, Peter Lynch Fair Value's result can be unreliable.
As of 2024-06-01, the Fair Value of Palo Alto Networks Inc
Palo Alto Networks Inc
Palo Alto Networks, Inc. is an American multinational cybersecurity company with headquarters in Santa Clara, California. The core product is a platform that includes advanced firewalls and cloud-based offerings that extend those firewalls to cover other aspects of security.
https://en.wikipedia.org › wiki › Palo_Alto_Networks
(PANW) is 47.39 USD. This value is based on the Peter Lynch's Fair Value formula. With the current market price of 294.91 USD, the upside of Palo Alto Networks Inc is -83.9%.
Is PANW a Buy, Sell or Hold? Palo Alto Networks has a consensus rating of Strong Buy which is based on 31 buy ratings, 7 hold ratings and 0 sell ratings. What is Palo Alto Networks's price target? The average price target for Palo Alto Networks is $340.97.
Palo Alto Networks Inc's market capitalization is 104B USD. PANW stock price is 321.6 USD. The Intrinsic Value of PANW stock (151.63 USD) is 53% less than its price (321.6 USD). The DCF Value of PANW stock (125.5 USD) is 61% less than its price (321.6 USD).
Conclusion. While Palo Alto Networks (PANW, Financial) appears modestly overvalued based on its current stock price and GF Value, the company's strong financial health, impressive growth rates, and effective capital allocation suggest potential for long-term value creation.
As of 2024-05-31, the Fair Value of Palo Alto Networks Inc (PANW) is 47.39 USD. This value is based on the Peter Lynch's Fair Value formula. With the current market price of 293.18 USD, the upside of Palo Alto Networks Inc is -83.8%.
Shares of cybersecurity provider Palo Alto Networks (NASDAQ:PANW) fell 9% in the pre-market session after the company reported first-quarter results, with remaining performance obligations (RPO - leading revenue indicator) falling slightly short of Wall Street's expectations.
Palo Alto currently has an average brokerage recommendation (ABR) of 1.62, on a scale of 1 to 5 (Strong Buy to Strong Sell), calculated based on the actual recommendations (Buy, Hold, Sell, etc.) made by 42 brokerage firms. An ABR of 1.62 approximates between Strong Buy and Buy.
Palo Alto Networks is a fundamentally strong company with bright revenue growth prospects and strong profitability. The company's ability to cross-sell its diverse set of cybersecurity offerings creates optimism for future growth.
The ownership structure of Palo Alto Networks (PANW) stock is a mix of institutional, retail and individual investors. Approximately 60.28% of the company's stock is owned by Institutional Investors, 3.82% is owned by Insiders and 35.90% is owned by Public Companies and Individual Investors.
"We delivered consistent, profitable growth yet again in Q3 and look forward to executing against our strategic goals and financial targets as we close out the year." Palo Alto Networks provides guidance based on current market conditions and expectations.
Palo Alto Networks net long-term debt for the quarter ending January 31, 2024 was $-0.172B, a INF% decline year-over-year. Palo Alto Networks net long-term debt for the twelve months ending January 31, 2024 was $-1.910B, a 318283.33% increase year-over-year.
Palo Alto Networks Inc quote is equal to 294.480 USD at 2024-06-04. Based on our forecasts, a long-term increase is expected, the "PANW" stock price prognosis for 2029-05-30 is 600.375 USD. With a 5-year investment, the revenue is expected to be around +103.88%.
Book value per share can be defined as the amount of equity available to shareholders expressed on a per common share basis. Palo Alto Networks book value per share for the three months ending January 31, 2024 was $13.50.
PANW implied volatility (IV) is 31.1, which is in the 45% percentile rank. This means that 45% of the time the IV was lower in the last year than the current level. The current IV (31.1) is -33.7% below its 20 day moving average (47.0) indicating implied volatility is trending lower.
Introduction: My name is Van Hayes, I am a thankful, friendly, smiling, calm, powerful, fine, enthusiastic person who loves writing and wants to share my knowledge and understanding with you.
We notice you're using an ad blocker
Without advertising income, we can't keep making this site awesome for you.