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πŸ”΄ Advanced Micro Devices (AMD) β€” Market Data

Sector: Semiconductors | Bars: 2,513 (2016-10-05 β†’ 2026-10-05) | Periods: 40 (2016-03-26 β†’ 2025-12-27) | Source filing: 10-K (Filed 2026-02-04)

5 tabs β€” the rest of this page is behind them. Click to switch between price history, financial statements, valuation and the raw data.

πŸ“ˆ Returns

1D 1W 1M 3M 6M YTD 1Y 3Y 5Y
-0.34% +3.93% +38.49% +22.41% +186.92% +194.99% +272.21% +514.78% +484.09%

πŸ“Š Key Statistics

Metric Value
Last close 631.75 (2026-10-05)
52-week high 645.46
52-week low 163.14
From 52-week high -2.12%
Position in 52-week range 97%
Highest price on record 645.46
Max drawdown (stored history) -65.45% (2022-10-14)
Annualised volatility (1Y) 72.82%
CAGR (stored history) +57.38%
Avg Vol (30D) 20.17M

πŸ“‹ Key Figures

Metric Latest quarter TTM
Revenue $10.27B $34.64B
Net Income $1.51B $4.33B
EPS (diluted) β€” 2.65
Free CF β€” $6.74B
Gross margin β€” 49.52%
Operating margin β€” 10.66%
Net margin β€” 12.51%
ROE β€” 6.88%
P/E β€” 81.1Γ—

Figures are per fiscal quarter. Filers report cash flow and many income items year-to-date and stop tagging the fourth quarter separately, so a discrete quarter is reconciled by differencing consecutive year-to-date figures β€” arithmetic on reported numbers, not an estimate. A blank cell means the company does not tag that concept.

πŸ“‰ Drawdown from Peak

🌑️ Rolling Volatility

🎲 Daily Return Distribution

πŸ—“οΈ Monthly Returns

Calendar-month returns; the year column chains its months, so it only appears for years covered from January onward.

Year Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2026 +10.5 -15.4 +1.6 +74.3 +45.6 +12.6 -18.0 -1.1 +30.0 +3.3 +195.0
2025 -4.0 -13.9 +2.9 -5.2 +13.7 +28.1 +24.2 -7.8 -0.5 +58.3 -15.1 -1.6 +77.2
2024 +13.8 +14.8 -6.2 -12.2 +5.4 -2.8 -10.9 +2.8 +10.4 -12.2 -4.8 -11.9 -18.1
2023 +16.0 +4.6 +24.7 -8.8 +32.3 -3.6 +0.4 -7.6 -2.7 -4.2 +23.0 +21.7 +127.6
2022 -20.6 +8.0 -11.3 -21.8 +19.1 -24.9 +23.5 -10.2 -25.3 -5.2 +29.2 -16.6 -55.0
2021 -6.6 -1.3 -7.1 +4.0 -1.9 +17.3 +13.1 +4.3 -7.1 +16.8 +31.7 -9.1 +56.9
2020 +2.5 -3.2 +0.0 +15.2 +2.7 -2.2 +47.2 +17.3 -9.7 -8.2 +23.1 -1.0 +100.0
2019 +32.2 -3.6 +8.5 +8.3 -0.8 +10.8 +0.3 +3.3 -7.8 +17.0 +15.4 +17.1 +148.4
2018 +33.7 -11.9 -17.0 +8.3 +26.2 +9.2 +22.3 +37.3 +22.7 -41.0 +17.0 -13.3 +79.6
2017 -8.6 +39.4 +0.6 -8.6 -15.9 +11.5 +9.1 -4.5 -1.9 -13.8 -0.9 -5.6 -9.3
2016 +23.2 +27.3

πŸ’° Statements

πŸ“Š Profitability

βš–οΈ Valuation

P/E Bands

πŸ“₯ Download

  • amd.csv β€” raw daily OHLCV, 2,513 rows
  • prices.json β€” the full history in the JSON shape the candlestick chart consumes
  • analytics.json β€” pre-computed drawdown, rolling volatility and return histogram
  • amd_financials.csv β€” reported quarterly statements, 40 periods
  • fundamentals.json β€” every derived series the charts on this page consume
πŸ“– How to read these charts

Every term used on this page, in one place. Ratios are computed on trailing twelve months (the last four reported quarters) unless stated otherwise, so a single seasonal quarter never distorts them.

Term What it means
TTM Trailing twelve months β€” the last four reported quarters added together. Used instead of a single quarter so seasonality and one-off quarters do not distort a ratio.
YoY Year-on-year: this quarter against the same quarter a year earlier.
Gross margin Revenue less the direct cost of the product, as a share of revenue. What the product itself earns before any company overhead.
Operating margin Operating profit as a share of revenue β€” after R&D and SG&A, before interest and tax.
Net margin Net profit as a share of revenue, after everything including tax.
EPS (diluted) Net income per share, assuming every option and convertible is exercised.
FCF Free cash flow: operating cash flow minus capital expenditure. The cash left over for dividends, buybacks and debt repayment.
ROE Return on equity: profit Γ· shareholders' equity. Flattered by debt, since borrowing shrinks the denominator.
ROA Return on assets: profit Γ· total assets. Unflattered by debt, and correspondingly lower.
ROIC Return on invested capital: after-tax operating profit Γ· (debt + equity). The cleanest read on whether the business earns more than its capital costs.
P/E Price Γ· earnings per share. Dollars paid for one dollar of annual profit. Undefined when earnings are negative.
P/S Price Γ· revenue per share. Used where there is no profit to divide by.
P/B Price Γ· book value per share (assets βˆ’ liabilities). Informative for banks; close to meaningless for software.
EV Enterprise value: market cap + total debt βˆ’ cash. What buying the whole business outright would cost.
EV/EBITDA Enterprise value Γ· earnings before interest, tax, depreciation and amortisation. Compares companies before financing and accounting choices diverge.
Drawdown How far below its own running all-time high the price sits, in percent.
Volatility Standard deviation of daily returns, annualised. A measure of how far the price typically wanders, not of which direction.
CAGR Compound annual growth rate: the single yearly rate that turns the first close into the last.
Max drawdown The deepest peak-to-trough fall in the stored history β€” the worst loss a buy-and-hold holder would have sat through.

Disclaimer

Price data is sourced from Yahoo Finance and provided as-is for research and educational use. It is not verified against an official exchange feed and must not be relied on for trading decisions.

Disclaimer

Figures come from SEC XBRL filings and are provided as-is for research and educational use. Concept mapping across filers is imperfect and restatements are not tracked; verify against the filing itself before relying on any number.

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