NASDAQ · REAL ESTATE · Statistics
Equinix Inc valuation and key ratios.
Valuation, profitability, balance-sheet health, and risk metrics for EQIX — each field resolved through TECHi's unified market-data layer.
Section freshness
Price Jun 12, 7:59 PM EDT · Statements Mar 30, 8:00 PM EDT
Source timingDetailsHide
Data freshness
Prices update fastest. Fundamentals, analyst data, and news update on their own schedules, so check these timestamps before comparing signals.
Price time means the latest available trade or regular-market close. Other times show when that section was checked or published.
Valuation
- Market cap
- $104.13B
- Enterprise value
- $124.31B
- P/E (TTM)
- 72.97
- Forward P/E
- 58.48
- PEG ratio
- 3.42
- Lower = cheaper for the growth
- Price / sales
- 10.93
- Price / book
- 7.20
- EPS (TTM)
- $14.47
Long-run compounding
CAGR since IPO and aggregate price growth.
Adjusted daily closes are annualized from the provider's historical price series; dividends are not included in this price-only return view.
- CAGR since IPO
- 4.87%
- From first adjusted close on August 11, 2000
- Aggregate CAGR
- 13.82%
- 1Y, 3Y, 5Y, 10Y blended CAGR
- First tracked close
- $309.03
- August 11, 2000
- History span
- 26 yrs
- Aug 11, 2000 to Jun 12, 2026 · 6,497 closes
- Latest tracked close
- $1055.85
- June 12, 2026
- All-time high
- $1123.24
- April 24, 2026
- All-time low
- $1.47
- January 28, 2003
- History source
- Full range
- Market data source
Valuation map
Risk and scale
Less volatile than the market
Pro formula stack
Ratios investors search for after the headline quote.
These are TECHi-computed from overview, income statement, balance sheet, and cash-flow rows when market-data sources expose the ingredients.
- EV / revenue
- 13.05
- Enterprise value / TTM revenue
- EV / EBITDA
- 29.03
- Enterprise value / EBITDA
- FCF yield
- -0.59%
- TTM free cash flow / market cap
- FCF / share
- $-6.21
- TTM free cash flow / shares outstanding
- Earnings yield
- 1.37%
- Inverse P/E
- Rule of 40
- 5.68%
- Revenue growth + FCF margin
- ROIC approx.
- 4.86%
- NOPAT / invested capital
- CROIC
- -1.69%
- FCF / invested capital
- Interest coverage
- 3.50×
- Operating income / interest expense
- TECHi quality score
- 4 / 7
- 7-point profitability, cash, leverage, and trend check
Quality and capital returns
TTM free cash flow / TTM revenue
TTM FCF / TTM net income
Gross-profit productivity screen
TTM revenue / market cap
Balance-sheet and reinvestment reads
0.00 means net cash
Total debt / TTM FCF
Tech-stock reinvestment intensity
Capital intensity of the business
Distress and optionality read
EQIX Altman Z-score: 2.99.
TECHi computes a non-financial-company Altman-style score from working capital, retained earnings, EBIT, market value, liabilities, revenue, and assets. It is not a bankruptcy prediction, but it gives pro readers a fast stress screen that most quote pages do not show beside live valuation metrics.
- Altman Z-score
- 2.99
- Higher = stronger stress profile
- Net cash / share
- $-222.51
- Cash minus debt, per share
- Working capital
- $808.00M
- Current assets minus current liabilities
- Debt growth YoY
- +18.61%
- Latest quarter vs same quarter last year
Valuation read
EQIX trades at 72.97× trailing earnings.
A trailing P/E above 30 means the market is paying up for EQIX. That premium has to be earned with above-average revenue or earnings growth — pair this with the forward P/E (58.48) and the PEG ratio (3.42) before forming a view.
Profitability
- Gross margin
- 51.61%
- Operating margin
- 24.30%
- Net margin
- 14.90%
- Return on equity
- 10.10%
- Return on assets
- 3.50%
- Debt / equity
- 1.63
- Current ratio
- 1.18
- >1 = covers near-term liabilities
- Beta (5Y)
- 0.97
Margin profile
Profitability read
EQIX converts 14.9% of revenue into net income.
Margins in the high single-digits to high-teens are the bulk of the index. The differentiated reads here are operating-margin direction (improving = leverage) and ROE — the latter tells you how much equity capital management actually needs.
Per-share & range
- Dividend yield
- 1.84%
- Forward yield
- Payout ratio
- 132.90%
- Dividend per share / EPS — lower leaves more room to grow
- Dividend coverage
- -0.32×
- TTM free cash flow / dividends paid — above 1× is self-funded
- Shares outstanding
- 98.62M
- 52w high
- $1123.13
- 52w low
- $694.72
Corporate actions
Stock split history
Market data source
- Latest split
- 1-for-32.05
- December 31, 2002
- Split events
- 1
- Latest split date
- Dec 31, 2002
- Split source
- Provider
- Market data source
| Date | Split | Multiplier |
|---|---|---|
| December 31, 2002 | 1-for-32.05 | 0.03 |
Provider and filing fields
Company statistics fields
TECHi resolves these from the strongest available provider, then falls back to official SEC filing facts and live quote-derived formulas when provider APIs go empty.
- Revenue (TTM)
- $9.53B
- Market data source
- Gross profit (TTM)
- $4.92B
- Market data source
- EBITDA
- $4.28B
- Market data source
- Book value
- $144.98
- Market data source
- Revenue / share
- $97.10
- Market data source
- Earnings growth YoY
- 20.00%
- Market data source
- Revenue growth YoY
- 12.10%
- Market data source
- 50-day average
- $1067.97
- Market data source
- 200-day average
- $888.00
- Market data source
- Dividend / share
- $19.23
- Market data source
- Dividend date
- June 17, 2026
- Market data source
- Ex-dividend date
- May 20, 2026
- Market data source
Frequently asked
Common questions.
What is Equinix Inc's market cap?
Equinix Inc (EQIX) has a market capitalization of $104.1 billion, computed from the latest share count and the live EQIX quote price on TECHi.
What is EQIX's P/E ratio?
EQIX trades at a trailing P/E of 72.97. Forward P/E and PEG are visible alongside on the Statistics page; compare to the sector cohort on /quote/EQIX/peers/.
Where do TECHi's EQIX statistics come from?
Each metric on the EQIX Statistics page is resolved through TECHi's unified market-data layer and displayed only when the underlying field is available or can be computed cleanly.
How current is the EQIX statistics page?
Live quote-derived stats (52-week range, current ratio, beta) refresh every market session; reported fundamentals (margins, ROE, debt-to-equity) update each time the issuer files a new statement.

