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Arrow Electronics, Inc. (ARW)

Market Closed

Sector: Technology · Industry: Wholesale-Electronic Parts & Equipment, Nec

Verdict Kritické riziko insolvencie (Altman Z: 1,00), pomalé splácanie dlhu a slabý FCF výnos (2,7 %) robia z ARW neatraktívnu a vysoko rizikovú investíciu.Mkt Cap 11.15BP/E 15.6ROE 10.8%52wk $101.87–$234.83
Profilev50g25p35h53q60

What's happening with ARW

Price History

5-Year Weekly Candlestick Chart

Profile

Valuation — 50/100 (Moderate) P/E vs own history: 93th pct → 0/25 FCF yield: 2.7% → 5/25 P/S: 0.3x → 25/25 EV/EBIT: 13.0x → 20/25Valuation50Growth — 25/100 (Weak) Revenue CAGR: -2.7% → 0/25 Net income CAGR: -15.3% → 0/25 EPS CAGR 5Y: -7.8% → 0/25 Fwd implied growth: 55.2% → 25/25Growth25Profitability — 35/100 (Weak) ROIC: 9.1% → 12/25 ROE: 10.8% → 12/25 Net margin: 2.2% → 6/25 Operating margin: 3.1% → 5/25Profitability35Financial Health — 53/100 (Moderate) Altman Z: 1.00 → 3/25 Current ratio: 1.24 → 12/25 Interest coverage: 8.0x → 18/25 Net cash / debt: D/A 6% → 20/25Health53Quality — 60/100 (Moderate) Piotroski F: 5/9 → 15/25 Beneish M: -2.04 → 12/25 FCF conversion: 42% → 8/25 Margin stability: σ 1.5% → 25/25Quality60

growth and profitability lag behind.

How is each axis scored?
  • Valuation50/100 · Moderate
    • P/E vs own history (93th pct)0/25
    • FCF yield (2.7%)5/25
    • P/S (0.3x)25/25
    • EV/EBIT (13.0x)20/25
  • Growth25/100 · Weak
    • Revenue CAGR (-2.7%)0/25
    • Net income CAGR (-15.3%)0/25
    • EPS CAGR 5Y (-7.8%)0/25
    • Fwd implied growth (55.2%)25/25
  • Profitability35/100 · Weak
    • ROIC (9.1%)12/25
    • ROE (10.8%)12/25
    • Net margin (2.2%)6/25
    • Operating margin (3.1%)5/25
  • Financial Health53/100 · Moderate
    • Altman Z (1.00)3/25
    • Current ratio (1.24)12/25
    • Interest coverage (8.0x)18/25
    • Net cash / debt (D/A 6%)20/25
  • Quality60/100 · Moderate
    • Piotroski F (5/9)15/25
    • Beneish M (-2.04)12/25
    • FCF conversion (42%)8/25
    • Margin stability (σ 1.5%)25/25

About Arrow Electronics, Inc.

Arrow Electronics Inc. Show more

is a provider of products, services, and solutions to industrial and commercial users of electronic components and enterprise computing solutions. It has one of the world's broadest portfolios of product offerings available from electronic components and enterprise computing solutions suppliers, coupled with a range of services, solutions, and software, the company helps industrial and commercial customers introduce products, reduce their time to market, and enhance their overall competitiveness. The company has two business segments, the global components business and the global enterprise computing solutions.

Headquarters: CENTENNIAL, CO · Employees: 22,230 · Website ↗

Analyst Consensus

Buy

Wall Street consensus estimates — not a PMP forecast · Updated Sep 21, 2026

Analyst Recommendations10 analysts · 2026-09-01
5
3
Strong Buy 1Buy 5Hold 3Sell 1Strong Sell 0

Insider Transactions

Recent SEC Form 4 filings

  • Sell
    Option exercise · filed 2026-06-03
    -14331 sh
    2026-06-02
  • Sell
    Open market sale · filed 2026-06-03
    -14331 sh
    2026-06-02
  • Buy
    Option exercise · filed 2026-06-03
    +14.3K sh
    2026-06-02
  • Sell
    Open market sale · filed 2026-06-03
    -6600 sh
    2026-06-02
  • Sell
    Open market sale · filed 2026-06-01
    -4600 sh
    2026-05-29

+3 more recent filings

Key Metrics

Financial snapshot — pillar inputs plus per-share and market context

Valuation

50C
P/E (TTM)15.6xB

Grade B: FairPrice / TTM EPS (own statements) — vs own 5Y history: 4.2x–17.5x · 93rd pct

P/FCF9.8xA

Grade A: CheapPrice / Free Cash Flow per share (Finnhub). Inverse of FCF yield — negative when FCF is negative

FCF Yield2.7%C

Grade C: LowTTM FCF / Market Cap — vs own 5Y history: -3.5%–20.8% · 33rd pct

P/S (TTM)0.33xA

Grade A: CheapPrice / TTM Revenue (own statements) — vs own 5Y history: 0.2x–0.4x · 97th pct

EV/EBIT13.0xB

Grade B: FairEnterprise value / TTM EBIT (D&A not in our data) — capital-structure neutral — vs own 5Y history: 4.7x–15.4x · 92nd pct

EV/Sales0.4xA

Grade A: CheapEnterprise Value / TTM Revenue (Finnhub) — capital-structure neutral sales multiple

Forward P/E10.0xA

Grade A: CheapPrice / next-year EPS estimate — shows whether the TTM multiple is rich or just front-loading growth

P/B Ratio1.65xA

Grade A: FairPrice to Book Value. Neg. equity = heavy buybacks

PEG Ratio0.18A

Grade A: CheapFinnhub PEG — their P/E basis ÷ expected EPS growth. Suppressed when their P/E diverges >2× from our TTM P/E (different basis)

Dividend Yield

TTM dividend yield (Finnhub) — annual dividends / price. None = no dividend; very high yield can signal distress

Payout Ratio

Dividends / Net Income (Finnhub) — share of earnings paid out; >90% or negative = unsustainable

P/E vs own 5Y historyAbove average · 93rd pct

Profitability

35D
ROIC9.1%C

Grade C: AvgNOPAT (EBIT less ~21% tax) / invested capital (equity + debt − cash). Flagship quality metric — durable >15% signals a moat

ROE10.8%C

Grade C: AvgReturn on Equity. Neg. equity = heavy buybacks

ROA2.5%D

Grade D: WeakReturn on Assets (Finnhub) — Net Income / Total Assets; how efficiently assets produce profit

Net Margin2.2%D

Grade D: LowNet Income / Revenue

Operating Margin3.1%D

Grade D: LowTTM EBIT / TTM Revenue

Gross Margin11.3%D

Grade D: LowGross Profit / Revenue

FCF Margin0.9%D

Grade D: LowFCF / Revenue

True FCF Margin0.8%D

Grade D: LowTTM (OCF − CapEx − SBC) / TTM Revenue — SBC treated as a real cost

Financial Health

53C
Altman Z-Score1.00D

Grade D: DistressBankruptcy risk. >3 Safe, <1.8 Distress

Current Ratio1.24xC

Grade C: OkCurrent Assets/Liabilities

Quick Ratio1.09xA

Grade A: High(Current Assets − Inventory) / Current Liabilities (Finnhub) — stricter liquidity test, excludes inventory

Interest Coverage8.0xC

Grade C: OkEBIT/Interest. >10 Strong

Debt Repayment7.2yC

Grade C: AvgYears to repay net debt via FCF

Net Debt/EBIT2.1xC

Grade C: MedLeverage. <2x Low, >4x High

Debt/Equity0.37xA

Grade A: LowDebt / Equity: <1 Conservative, >2 Risky. Not meaningful with non-positive equity; shown as unavailable rather than low debt.

Cash / Debt0.12xD

Grade D: ThinCash covers how much of total debt. >1 = could repay all debt from cash

Growth

25E
Revenue CAGR-2.7%D

Grade D: LowCompound annual revenue growth (up to 5Y depending on data availability)

Net Income CAGR-15.3%D

Grade D: LowCompound annual net income growth (up to 5Y depending on data availability)

EPS CAGR (5Y)-7.8%D

Grade D: LowCompound annual EPS growth over up to 5Y of per-share earnings (own statements). Null when either endpoint EPS ≤ 0

Forward Growth55.2%A

Grade A: HighImplied 1Y EPS growth from forward P/E vs our TTM EPS. Sparse — only where forward estimates exist

Dilution (5Y)-31.8%A

Grade A: BuybacksShare count change over 5Y

SBC / Net Income2.6%A

Grade A: LowStock-based comp/Net income. >30% = dilution risk

SBC / Revenue0.1%A

Grade A: LowTTM stock-based comp / TTM Revenue

Quality

1/10 Loss Years60B
Piotroski F-Score5/9C

Grade C: AvgFinancial strength 0–9. >7 Strong

Beneish M-Score-2.04C

Grade C: Gray zoneEarnings manipulation risk. < -2.22 Safe

FCF Conversion41.8%D

Grade D: PoorFCF / Net Income

Margin Stability1.5%A

Grade A: StableEBIT margin std deviation. Lower = stable

Capex / Revenue0.3%A

Grade A: Asset-lightTTM CapEx / TTM Revenue — high % = capital-hungry business

Asset Turnover1.06xA

Grade A: HighRevenue / Total Assets (Finnhub) — how efficiently the asset base generates sales

Per Share

EPS (TTM)$14.05

Own TTM net income / shares — same earnings basis as P/E

Cash / Share$6.00

Cash & short-term investments per share (Finnhub)

Book Value / Share$128.94

Shareholders' equity per share (Finnhub). Negative = accumulated losses / heavy buybacks

Balance Sheet

Total Debt$2.47B

Total debt obligations (short + long term)

Cash & Equiv.$286.51M

Cash and short-term investments

Net Debt$2.18B

Total Debt minus Cash. Negative = Net Cash position

Total Equity$6.74B

Shareholders' equity (book value)

Asset / Liability1.23xC

Grade C: AdequateTotal Assets / Total Liabilities

Market

Market Cap$11.15B

Current Market Capitalization

Beta1.20C

Grade C: VolatilePrice sensitivity vs the market (Finnhub) — 1.0 moves with market, >1.2 amplifies swings

Takeaway

Kritické riziko insolvencie (Altman Z: 1,00), pomalé splácanie dlhu a slabý FCF výnos (2,7 %) robia z ARW neatraktívnu a vysoko rizikovú investíciu.

Takes ~7.2 years to repay net debt from free cash flow. · Current P/E of 15.6x sits at the 93rd percentile of its historical range.

How grades work: each metric is graded A–D against fixed thresholds (tap a row for the meaning). Card grades map the pillar score to A+–E — a card grade is that pillar's own score, not an average of the rows shown.

Financials as of Apr 2026 · Ratio snapshot Sep 22, 2026

Key Insights: Arrow Electronics, Inc. (ARW)

Composite verdict for Arrow Electronics, Inc.: Kritické riziko insolvencie (Altman Z: 1,00), pomalé splácanie dlhu a slabý FCF výnos (2,7 %) robia z ARW neatraktívnu a vysoko rizikovú investíciu.. Piotroski F-Score of 5/9 indicates mixed fundamentals for Arrow Electronics, Inc.. Altman Z-Score of 1.00 is below the 1.81 distress threshold — an elevated financial-risk flag.

  • Revenue has been contracting (CAGR ≈ -3%), which weighs on the growth outlook.
  • Takes ~7.2 years to repay net debt from free cash flow.
  • Arrow Electronics, Inc. posted a net loss in 1 of 10 available completed fiscal years (2016–2025).

See how ARW ranks on the Capex Tracker — top 50 capital spenders compared.

No significant market moves for ARW in the last 30 days.

See ARW move history →

Frequently Asked Questions about ARW

Is ARW stock a buy right now?

PreMarketPrice's quantitative model rates Arrow Electronics, Inc.'s financial health at 53/100 — Kritické riziko insolvencie (Altman Z: 1,00), pomalé splácanie dlhu a slabý FCF výnos (2,7 %) robia z ARW neatraktívnu a vysoko rizikovú investíciu.. This is a data-driven snapshot of fundamentals, not investment advice.

Is ARW stock overvalued?

Arrow Electronics, Inc. trades at a trailing P/E of 15.6 and our valuation score rates it 50/100 (higher = cheaper vs. its own history). See the Valuation History and Key Metrics sections for forward P/E, EV/EBITDA and PEG context.

When does Arrow Electronics, Inc. report earnings?

No confirmed earnings date is currently scheduled for ARW. The Earnings section lists recent reports and updates as dates are announced.

What sector does Arrow Electronics, Inc. operate in?

Arrow Electronics, Inc. operates in the Technology sector, within the Wholesale-Electronic Parts & Equipment, Nec industry. The Related Stocks section lists sector peers for comparison.

What does Arrow Electronics, Inc. do?

Arrow Electronics Inc.

About Arrow Electronics, Inc. (ARW) Stock

Arrow Electronics, Inc. (ARW) is a US-listed stock operating in the Technology sector, specifically the Wholesale-Electronic Parts & Equipment, Nec industry. Real-time pricing data for Arrow Electronics, Inc. is available on this page with a market capitalization of $11.2 billion. The financial health score for ARW is 53/100, which indicates moderate financial strength based on profitability, leverage, liquidity, and growth metrics. This page provides real-time pre-market pricing, earnings calendar, financial health analysis, and valuation metrics for ARW stock.

ARW Stock Analysis & Key Metrics

On PreMarketPrice, you can track Arrow Electronics, Inc. (ARW) across multiple dimensions:

Is ARW a Good Stock to Buy?

This page provides data-driven analysis to help you evaluate Arrow Electronics, Inc. (ARW) as an investment. The financial health score of 53/100 suggests moderate financial fundamentals. Valuation metrics show whether the stock is trading above or below its historical average.However, this is not financial advice — always do your own research before investing.

Data on this page is sourced from real-time market feeds, Polygon.io, and Finnhub.Arrow Electronics, Inc. (ARW) trades on NYSE/NASDAQ. Pre-market trading occurs 4:00 AM – 9:30 AM ET. Regular market hours are 9:30 AM – 4:00 PM ET.