APHNEUTRAL

Quick Ratio

1.17x

Higher than 33% of Technology sector peers

Updated 19h ago

Sector Performance

33th percentile

APH

1.17x

Sector Median

1.42x

Sector Avg

14.93x

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Deep Analysis

A quick ratio of 1.17x means the company has $1.17 in cash and near-cash assets for every $1.00 of current liabilities due within a year, providing a basic measure of short-term liquidity.

Among its Technology sector peers, Amphenol’s ratio sits below the sector median of 1.29x and ranks at the 35th percentile. The trend has been perfectly stable over the past eight quarters, with both year-over-year and quarter-over-quarter changes at +0.0%. The combination of a quick ratio slightly below the sector median and a flat trend suggests neither an improving nor a deteriorating liquidity position, implying a low level of either risk or opportunity from this metric alone. This stable, middling profile directly supports the overall NEUTRAL verdict, as it offers no clear bullish or bearish signal.

Frequently Asked Questions

What does the Quick Ratio tell investors about APH?

A strict liquidity test. Values below 1.0 suggest a company may struggle to cover short-term obligations without selling inventory.

How is the Quick Ratio calculated?

Quick Ratio is calculated as: (Cash + Receivables) / Current Liabilities.

How does APH's Quick Ratio compare to its sector?

APH's Quick Ratio of 1.17x compares to a Technology sector median of 1.42x, placing it in the 33th percentile.

Who are APH's closest peers by Quick Ratio?

The closest Technology peers by Quick Ratio include: WIX (1.10x), ASAN (1.09x), PTC (1.06x), MSFT (1.01x), BOX (1.00x).

The Formula

(Cash + Receivables) / Current Liabilities

Why It Matters

A strict liquidity test. Values below 1.0 suggest a company may struggle to cover short-term obligations without selling inventory.

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APH

1.17x

Sector Median

1.42x

Sector Avg

14.93x

How APH's Quick Ratio compares to sector peers.

Not financial advice. Research tool only. Data may be delayed.