Semiconductors
The chip supply chain — designers, equipment and components.
Viavi Solutions Inc (VIAV)
HOLD. 12-month probability-weighted target $39 (+5% vs spot). P/E Multiple explains 73% of Monte Carlo outcome variance.
Texas Instruments Incorporated (TXN)
HOLD. 12-month probability-weighted target $280 (+8% vs spot). P/E Multiple explains 79% of Monte Carlo outcome variance.
Synaptics Incorporated (SYNA)
BUY. 12-month probability-weighted target $112 (+20% vs spot). P/E Multiple explains 62% of Monte Carlo outcome variance.
Skyworks Solutions Inc (SWKS)
HOLD. 12-month probability-weighted target $68 (+1% vs spot). P/E Multiple explains 64% of Monte Carlo outcome variance.
Semtech Corporation (SMTC)
HOLD. 12-month probability-weighted target $126 (+4% vs spot). P/E Multiple explains 68% of Monte Carlo outcome variance.
Rambus Inc (RMBS)
HOLD. 12-month probability-weighted target $100 (+15% vs spot). P/E Multiple explains 84% of Monte Carlo outcome variance.
Qualcomm Incorporated (QCOM)
HOLD. 12-month probability-weighted target $177 (+11% vs spot). P/E Multiple explains 73% of Monte Carlo outcome variance.
Qnity Electronics, Inc (Q)
HOLD. 12-month probability-weighted target $153 (+21% vs spot). P/E Multiple explains 61% of Monte Carlo outcome variance.
Onto Innovation Inc (ONTO)
HOLD. 12-month probability-weighted target $278 (-2% vs spot). P/E Multiple explains 78% of Monte Carlo outcome variance.
ON Semiconductor Corporation (ON)
BUY. 12-month probability-weighted target $88 (+23% vs spot). P/E Multiple explains 65% of Monte Carlo outcome variance.
Universal Display (OLED)
HOLD. 12-month probability-weighted target $81 (-4% vs spot). P/E Multiple explains 79% of Monte Carlo outcome variance.
NXP Semiconductors NV (NXPI)
BUY. 12-month probability-weighted target $267 (+20% vs spot). P/E Multiple explains 75% of Monte Carlo outcome variance.
NVIDIA Corporation (NVDA)
HOLD. 12-month probability-weighted target $199 (-4% vs spot). Revenue Growth explains 59% of Monte Carlo outcome variance.
MACOM Technology Solutions Holdings Inc (MTSI)
HOLD. 12-month probability-weighted target $269 (+5% vs spot). P/E Multiple explains 82% of Monte Carlo outcome variance.
Motorola Solutions Inc (MSI)
SELL. 12-month probability-weighted target $401 (-17% vs spot). P/E Multiple explains 75% of Monte Carlo outcome variance.
Monolithic Power Systems Inc (MPWR)
HOLD. 12-month probability-weighted target $1202 (-6% vs spot). P/E Multiple explains 80% of Monte Carlo outcome variance.
MKS Instruments Inc (MKSI)
SELL. 12-month probability-weighted target $232 (-14% vs spot). P/E Multiple explains 74% of Monte Carlo outcome variance.
Microchip Technology Inc (MCHP)
HOLD. 12-month probability-weighted target $84 (+14% vs spot). P/E Multiple explains 78% of Monte Carlo outcome variance.
Lattice Semiconductor Corporation (LSCC)
SELL. 12-month probability-weighted target $99 (-13% vs spot). P/E Multiple explains 81% of Monte Carlo outcome variance.
Lam Research Corp (LRCX)
HOLD. 12-month probability-weighted target $331 (+7% vs spot). P/E Multiple explains 71% of Monte Carlo outcome variance.
Littelfuse Inc (LFUS)
HOLD. 12-month probability-weighted target $399 (-1% vs spot). P/E Multiple explains 55% of Monte Carlo outcome variance.
KLA Corporation (KLAC)
BUY. 12-month probability-weighted target $249 (+37% vs spot). P/E Multiple explains 82% of Monte Carlo outcome variance.
InterDigital Inc (IDCC)
SELL. 12-month probability-weighted target $261 (-23% vs spot). P/E Multiple explains 80% of Monte Carlo outcome variance.
First Solar Inc. (FSLR)
HOLD. 12-month probability-weighted target $226 (+9% vs spot). P/E Multiple explains 70% of Monte Carlo outcome variance.
F5 Networks Inc (FFIV)
HOLD. 12-month probability-weighted target $368 (-3% vs spot). P/E Multiple explains 81% of Monte Carlo outcome variance.
Entegris Inc (ENTG)
HOLD. 12-month probability-weighted target $133 (-4% vs spot). P/E Multiple explains 60% of Monte Carlo outcome variance.
Cisco Systems Inc (CSCO)
HOLD. 12-month probability-weighted target $114 (+4% vs spot). P/E Multiple explains 81% of Monte Carlo outcome variance.
Cirrus Logic Inc (CRUS)
BUY. 12-month probability-weighted target $134 (+20% vs spot). P/E Multiple explains 71% of Monte Carlo outcome variance.
Belden Inc (BDC)
SELL. 12-month probability-weighted target $100 (-15% vs spot). Gross Margin explains 60% of Monte Carlo outcome variance.
Broadcom Inc (AVGO)
HOLD. 12-month probability-weighted target $360 (+0% vs spot). P/E Multiple explains 84% of Monte Carlo outcome variance.
Amphenol Corporation (APH)
HOLD. 12-month probability-weighted target $160 (+3% vs spot). P/E Multiple explains 73% of Monte Carlo outcome variance.
Arista Networks (ANET)
SELL. 12-month probability-weighted target $157 (-16% vs spot). P/E Multiple explains 87% of Monte Carlo outcome variance.
Amkor Technology Inc (AMKR)
BUY. 12-month probability-weighted target $62 (+30% vs spot). Gross Margin explains 56% of Monte Carlo outcome variance.
Allegro Microsystems Inc (ALGM)
BUY. 12-month probability-weighted target $47 (+31% vs spot). P/E Multiple explains 66% of Monte Carlo outcome variance.
Advanced Energy Industries Inc (AEIS)
HOLD. 12-month probability-weighted target $280 (+2% vs spot). P/E Multiple explains 62% of Monte Carlo outcome variance.
Analog Devices Inc (ADI)
HOLD. 12-month probability-weighted target $380 (+2% vs spot). P/E Multiple explains 81% of Monte Carlo outcome variance.
Lumentum Holdings Inc (LITE)
SELL. 12-month probability-weighted target $697 (-17% vs spot). P/E Multiple explains 76% of Monte Carlo outcome variance.
Silicon Laboratories Inc (SLAB)
At the current quote Silicon Laboratories Inc is trading rich to the engine's triangulated fair value (-31%). The business — Silicon Laboratories Inc., a factory-less semiconductor company, provides mixed-signal…