financetom
Technology
financetom
/
Technology
/
Competitor Analysis: Evaluating Apple And Competitors In Technology Hardware, Storage & Peripherals Industry
News World Market Environment Technology Personal Finance Politics Retail Business Economy Cryptocurrency Forex Stocks Market Commodities
Competitor Analysis: Evaluating Apple And Competitors In Technology Hardware, Storage & Peripherals Industry
Jun 13, 2025 8:37 AM

In today's rapidly changing and highly competitive business world, it is imperative for investors and industry observers to carefully assess companies before making investment choices. In this article, we will undertake a comprehensive industry comparison, evaluating Apple ( AAPL ) vis-à-vis its key competitors in the Technology Hardware, Storage & Peripherals industry. Through a detailed analysis of important financial indicators, market standing, and growth potential, our goal is to provide valuable insights and highlight company's performance in the industry.

Apple Background

Apple ( AAPL ) is among the largest companies in the world, with a broad portfolio of hardware and software products targeted at consumers and businesses. Apple's ( AAPL ) iPhone makes up a majority of the firm sales, and Apple's ( AAPL ) other products like Mac, iPad, and Watch are designed around the iPhone as the focal point of an expansive software ecosystem. Apple ( AAPL ) has progressively worked to add new applications, like streaming video, subscription bundles, and augmented reality. The firm designs its own software and semiconductors while working with subcontractors like Foxconn and TSMC to build its products and chips. Slightly less than half of Apple's ( AAPL ) sales come directly through its flagship stores, with a majority of sales coming indirectly through partnerships and distribution.

Company P/E P/B P/S ROE EBITDA (in billions) Gross Profit (in billions) Revenue Growth
Apple Inc ( AAPL ) 31.03 44.54 7.56 37.11% $32.25 $44.87 5.08%
Super Micro Computer Inc 23.57 4.06 1.27 1.72% $0.14 $0.44 19.48%
Hewlett Packard Enterprise Co 17.43 1 0.77 -4.4% $0.87 $2.17 5.87%
NetApp Inc 18.16 19.83 3.27 33.42% $0.43 $1.19 3.84%
Western Digital Corp 19.10 3.76 1.26 5.86% $0.28 $0.91 30.94%
Pure Storage Inc 143.39 14.32 5.76 -1.1% $0.04 $0.54 12.26%
Eastman Kodak Co 12.17 0.84 0.50 -1.66% $0.02 $0.05 -0.8%
Turtle Beach Corp 18.27 2.25 0.75 -0.55% $0.0 $0.02 14.42%
Average 36.01 6.58 1.94 4.76% $0.25 $0.76 12.29%

table {

width: 100%;

border-collapse: collapse;

font-family: Arial, sans-serif;

font-size: 14px;

}

th, td {

padding: 8px;

text-align: left;

}

th {

background-color: #293a5a;

color: #fff;

text-align: left;

}

tr:nth-child(even) {

background-color: #f2f4f8;

}

tr:hover {

background-color: #e1e4ea;

}

td:nth-child(3), td:nth-child(5) {

text-align: left;

}

.dividend-amount {

font-weight: bold;

color: #0d6efd;

}

.dividend-frequency {

font-size: 12px;

color: #6c757d;

}

When analyzing Apple ( AAPL ), the following trends become evident:

A Price to Earnings ratio of 31.03 significantly below the industry average by 0.86x suggests undervaluation. This can make the stock appealing for those seeking growth.

It could be trading at a premium in relation to its book value, as indicated by its Price to Book ratio of 44.54 which exceeds the industry average by 6.77x.

The Price to Sales ratio of 7.56, which is 3.9x the industry average, suggests the stock could potentially be overvalued in relation to its sales performance compared to its peers.

The company has a higher Return on Equity (ROE) of 37.11%, which is 32.35% above the industry average. This suggests efficient use of equity to generate profits and demonstrates profitability and growth potential.

Compared to its industry, the company has higher Earnings Before Interest, Taxes, Depreciation, and Amortization (EBITDA) of $32.25 Billion, which is 129.0x above the industry average, indicating stronger profitability and robust cash flow generation.

With higher gross profit of $44.87 Billion, which indicates 59.04x above the industry average, the company demonstrates stronger profitability and higher earnings from its core operations.

The company's revenue growth of 5.08% is significantly lower compared to the industry average of 12.29%. This indicates a potential fall in the company's sales performance.

Debt To Equity Ratio

The debt-to-equity (D/E) ratio measures the financial leverage of a company by evaluating its debt relative to its equity.

Considering the debt-to-equity ratio in industry comparisons allows for a concise evaluation of a company's financial health and risk profile, aiding in informed decision-making.

When comparing Apple ( AAPL ) with its top 4 peers based on the Debt-to-Equity ratio, the following insights can be observed:

Apple ( AAPL ) is positioned in the middle in terms of the debt-to-equity ratio compared to its top 4 peers.

This suggests a balanced financial structure, where the company maintains a moderate level of debt while also relying on equity financing with a debt-to-equity ratio of 1.47.

Key Takeaways

In comparison to its peers in the Technology Hardware, Storage & Peripherals industry, Apple's ( AAPL ) PE ratio is considered low, indicating potential undervaluation. However, its PB and PS ratios are high, suggesting overvaluation relative to industry standards. On the other hand, Apple's ( AAPL ) high ROE, EBITDA, gross profit, and low revenue growth position it favorably among its industry counterparts, reflecting strong operational efficiency and profitability despite slower revenue growth.

This article was generated by Benzinga's automated content engine and reviewed by an editor.

Comments
Welcome to financetom comments! Please keep conversations courteous and on-topic. To fosterproductive and respectful conversations, you may see comments from our Community Managers.
Sign up to post
Sort by
Show More Comments
Related Articles >
Forecast update for EURUSD -21-08-2025
Forecast update for EURUSD -21-08-2025
Aug 21, 2025
The price of (EURUSD) witnessed fluctuated trading in its last intraday levels, amid its trading with a minor bearish bias line on a short-term basis, with the continuation of the negative pressure that comes from its trading below EMA50, which prevented its recovery in the last period, besides the emergence of the negative signals on the (RSI). VIP Trading Signals...
Hedera price shows more negative signs - Analysis - 21-08-2025
Hedera price shows more negative signs - Analysis - 21-08-2025
Aug 21, 2025
Hedera (HBARUSD) price declined in its latest intraday trading, as the short-term corrective bearish trend continues to dominate with movements along a minor supporting trendline. The negative pressure persists as the price trades below its 50-period simple moving average. In addition, we notice the emergence of negative signals on the Relative Strength Index, after it reached overbought areas. Therefore, we...
Enphase Energy Stock: A Deep Dive Into Analyst Perspectives (19 Ratings)
Enphase Energy Stock: A Deep Dive Into Analyst Perspectives (19 Ratings)
Aug 21, 2025
19 analysts have shared their evaluations of Enphase Energy ( ENPH ) during the recent three months, expressing a mix of bullish and bearish perspectives. The table below offers a condensed view of their recent ratings, showcasing the changing sentiments over the past 30 days and comparing them to the preceding months. Bullish Somewhat Bullish Indifferent Somewhat Bearish Bearish Total...
Broadcom's Options Frenzy: What You Need to Know
Broadcom's Options Frenzy: What You Need to Know
Aug 21, 2025
Financial giants have made a conspicuous bullish move on Broadcom ( AVGO ). Our analysis of options history for Broadcom ( AVGO ) revealed 26 unusual trades. Delving into the details, we found 42% of traders were bullish, while 42% showed bearish tendencies. Out of all the trades we spotted, 11 were puts, with a value of $902,654, and 15...
Copyright 2023-2026 - www.financetom.com All Rights Reserved