ANET
Arista Networks
Data as of 2026-09-05
Company attributes
Price
Interactive 5-year price history chart for ANET. Latest close $191.44.
Pillar breakdown
0–100 percentile rank against the current universe (sector-relative for Quality / Value / Growth / Profitability)
- QualityProfit margins & asset efficiency71ExceptionalInformation Technology median (n=190) 49
- ValuePrice vs fundamentals17PoorInformation Technology median (n=190) 51
- GrowthRevenue & earnings trajectory72ExceptionalInformation Technology median (n=190) 51
- MomentumRecent price strength75ExceptionalInformation Technology median (n=190) 51
- HealthBalance sheet & solvency89ExceptionalInformation Technology median (n=190) 65
- ProfitabilityROE, ROA, ROIC68StrongInformation Technology median (n=190) 50
- TechnicalTrend & volatility signals60StrongInformation Technology median (n=190) 50
- RiskVolatility & drawdown profile48AverageInformation Technology median (n=190) 41
Pillars not shown: Sentiment, ML (Phase 5+).
Fair price check
6 different valuation methods each estimate what ANET should be worth, then we compare to today's price.
- P/E multiplesOvervaluedthinks it's expensive — estimates $152.31, about 20% below today
- EV/EBITDAOvervaluedthinks it's expensive — estimates $104.03, about 46% below today
- P/B multiplesOvervaluedthinks it's expensive — estimates $84.60, about 56% below today
- Graham (defensive)Outlierestimate looks unreliable — estimates $31.38 — likely unreliable
- Residual IncomeOutlierestimate looks unreliable — estimates $23.72 — likely unreliable
- DCF (2-stage)Outlierestimate looks unreliable — estimates $6.73 — likely unreliable
How to read this: “Cheap” = method's fair price is at least 20% above today. “Fair” = within ±10–20%. “Pricey” = at least 10% below today. Outliers (values more than 5× or less than 0.2× today's price) are excluded.
Fair price ensemble
- Median fair
- $57.99
- Margin of safety(vs fair value)
- < −99%
- Max (ex-outliers)
- $152.31
- Tangible BVPS
- $11.36
- Extreme Graham estimate
- Extreme Residual-Income estimate
- Extreme DCF estimate
- Majority of methods extreme
Median of all applicable methods (current price $191.44). Per-method estimates + each method’s cheap/fair/pricey read are in the Fair price check above. Outliers above 5× or below 0.2× current price are excluded from the max but kept in the median. See methodology for the 6-method ensemble + 7 defenses.
Defense layer. Flags mark elevated risk, never confirmed fraud. This model cannot catch every manipulation and decays after publication — weigh it against its stated error rates.
Supporting dataRaw fundamentals & data-quality provenance behind the scores above
Raw fundamentals (SEC EDGAR)
| Metric | Value |
|---|---|
| Market cap | $241.45B |
| Revenue (TTM) | $10.54B |
| Net income (TTM) | $4.04B |
| Operating cash flow (TTM) | $5.31B |
| CapEx (TTM) | $138.30M |
| Free cash flow (TTM)CFO − CapEx | $5.17B |
| Total assets | $23.72B |
| Total liabilities | $8.92B |
| Stockholders' equity | $14.80B |
| Cash & equivalents | $2.29B |
| Shares outstanding | 1.26B |
| EPS (basic) | $3.21 |
| EPS (diluted) | $3.21 |
| P/E ratio (TTM) | 59.70 |
TTM = trailing twelve months. Balance sheet items are point-in-time (latest filing).
Data quality
- Latest filed date
- 2026-08-05
- Latest period end
- 2026-07-30
- Filing lag
- 31 days
- Missing metrics
- 2(interest_expense, dividends_paid)
Composite is the 8-pillar weighted score over quality, value, growth, momentum, health, profitability, technical, and risk. Sentiment + ML pillars are reserved for a later phase; until then their weight redistributes pro-rata. Fair price is the median of 6 valuation methods (Graham, P/E / P/B / EV-EBITDA multiples, RIM, DCF) with outliers above 5× current price excluded from the max. Risk-overlay flags annotate only — they suppress the entered-top-5 badge but do not modify the composite.