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Q Overview

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$
0.000
0.000(0.000%)
At close
0.000(0.000%)Aft-market
ET
$
0.000
0.000(0.000%)
At close
0.000(0.000%)Aft-market
ET
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Intellectia

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High
135.495
Open
134.270
VWAP
134.64
Vol
176.60K
Mkt Cap
27.50B
Low
134.057
Amount
23.78M
EV/EBITDA(TTM)
--
Total Shares
209.44M
EV
30.89B
EV/OCF(TTM)
--
P/S(TTM)
--
Qnity Electronics, Inc. is engaged in providing materials and solutions for semiconductor and electronics industries. The Company has two business segments, namely Semiconductor Technologies and Interconnect Solutions. The Semiconductor Technologies segment provides a portfolio of materials and solutions utilized across multiple stages of the semiconductor manufacturing process. These materials are integrated into customers’ roadmaps and are intended to support improvements in chip performance, production yield, and the implementation of advanced node technologies. The Interconnect Solutions segment offers a comprehensive range of material solutions that address the complexities of signal integrity, thermal and power management, and advanced packaging. These solutions are used in advanced electronics hardware applications, including complex printed circuit boards and advanced semiconductor packaging.
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Events Timeline

(ET)
2026-03-26
11:40:00
Apple Announces New Manufacturing Program with $400M Investment
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link
2026-03-23 (ET)
2026-03-23
10:00:00
Qnity Electronics Stock Rises $8.53 to $116.12
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2026-03-18 (ET)
2026-03-18
16:20:00
Qnity Electronics Partners with NVIDIA to Accelerate AI Innovation
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2026-03-06 (ET)
2026-03-06
06:10:00
Qnity Electronics Acquires New Facility in Taiwan for $61.5M
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2026-02-26 (ET)
2026-02-26
06:20:00
Qnity Reports Q4 Revenue of $1.19B, Exceeds Consensus
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News

CNBC
6.5
04-16CNBC
CNBC Investing Club April Meeting Highlights
  • Market Rebound Analysis: The S&P 500 index reached a record high in April, marking a significant recovery from the Iran war sell-off, indicating a renewed focus on company fundamentals despite the ongoing conflict, which underscores the importance of investor calmness.
  • Nike Investment Reflection: Despite insider buying signals prompting us to increase our stake in Nike last December, we are now skeptical about CEO Elliott Hill's ability to turn the company around, and if next quarter's performance is disappointing, we will consider exiting.
  • Amazon Cloud Business Recovery: Amazon's stock rebound highlights the importance of patience, as the market is gradually recognizing the strength of its AWS cloud division and online retail business, which are expected to continue growing in the future.
  • Nvidia Market Leadership: Nvidia's leading position in the AI chip sector is paying off, and despite competitive pressures, its advantage in computing power positions it well to maintain market leadership going forward.
Newsfilter
8.0
04-15Newsfilter
Qnity Electronics Declares Quarterly Dividend of $0.08
  • Quarterly Dividend Announcement: Qnity Electronics has declared a quarterly dividend of $0.08 per share, payable on June 15, 2026, reflecting the company's commitment to shareholder returns and enhancing investor confidence.
  • Record Date for Shareholders: The dividend will be payable to shareholders of record as of May 29, 2026, ensuring that eligible shareholders benefit from this distribution, thereby strengthening the relationship between the company and its investors.
  • Company Background: Qnity is a leading technology solutions provider across the semiconductor value chain, focusing on AI, high-performance computing, and advanced connectivity, showcasing its significant role in the rapidly evolving tech landscape.
  • Forward-Looking Statements: The company’s cautionary statements regarding forward-looking information highlight uncertainties in future operational and financial performance, reminding investors to consider potential risks while ensuring transparency and compliance.
CNBC
4.5
04-12CNBC
Market Faces Multiple Challenges and Opportunities
  • Impact of Iran War: Since the onset of the Iran war, oil prices have doubled, and despite a significant drop following the two-week ceasefire news, the S&P 500 remains only 2.3% below its all-time high, indicating market resilience and adaptability to rising oil prices.
  • Tech Stock Turmoil: Software stocks like ServiceNow and Salesforce have plummeted by 30% to 40% despite strong profitability due to fears of AI's impact, while hardware stocks have surged by 50% to 150%, reflecting a stark divergence in market sentiment towards the tech sector.
  • Bond Market Stability: The 10-year Treasury yield peaked at 4.5% on March 27 before settling at 4.32%, with the low-rate environment providing support for the stock market, even as discussions about Federal Reserve policies remain prevalent.
  • Bank Earnings Season: Goldman Sachs is set to report earnings, expected to showcase a stronger narrative than traditional banks, while Wells Fargo's performance may be influenced by market underestimations of its historical issues, potentially leading to more realistic expectations.
CNBC
4.5
04-02CNBC
Market Volatility and Surge in Oil Prices
  • Surge in Oil Prices: President Trump's address indicated a hardline U.S. stance on Iran, causing WTI crude prices to exceed $110 per barrel, reflecting market concerns over Middle Eastern tensions that could impact global economic recovery.
  • Brief Market Rebound: Despite rising oil prices, stocks briefly turned positive due to reports of Iran drafting a plan with Oman to monitor the Strait of Hormuz, yet this rebound was short-lived, highlighting the fragility of market sentiment.
  • Helium Supply Chain Disruption: The Wall Street Journal noted that the war has disrupted helium supply chains in Qatar, with Linde and Air Products identified as beneficiaries, although Linde faces challenges due to its smaller helium revenue share compared to Air Products.
  • Upcoming Economic Data: While the stock market is closed for Good Friday, attention will turn to the March jobs report, with economists predicting an addition of 60,000 jobs and an unchanged unemployment rate of 4.4%, which will influence market expectations for economic recovery.
CNBC
4.5
04-02CNBC
Market Volatility Intensifies, Investors Urged to Exercise Caution
  • Market Sentiment Fluctuations: Following President Trump's hardline speech, Wall Street experienced a sell-off on Thursday morning, leading to rising oil prices and falling stocks, reflecting the inverse relationship that has characterized the market since the war began on February 28, severely impacting investor sentiment.
  • Short-term Investment Strategy: Despite increasing market volatility, analysts recommend that investors identify three to five stocks that remain attractive in the current environment, allowing for accumulation at lower prices to reduce overall cost basis and ensure better returns when the conflict concludes.
  • Importance of Risk Management: Historical data shows that investors attempting to predict market corrections often incur greater losses, making patience and a measured investment strategy crucial in the current uncertain market to avoid missing potential rebound opportunities.
  • Economic Growth Outlook: With the war potentially dragging on, oil prices may remain elevated, putting pressure on corporate profits; analysts note that while the tail risk of a recession has increased, earnings remain the guiding light for the stock market, and investors should focus on the potential for earnings growth.
CNBC
8.0
03-30CNBC
Market Volatility and TJX Dividend Increase
  • Market Volatility: The S&P 500 struggled to maintain gains at the start of the holiday-shortened trading week, initially rising after President Trump's comments on the Iran war but subsequently falling, with the tech-heavy Nasdaq leading the decline, indicating market uncertainty.
  • Oil Price Impact: U.S. West Texas Intermediate crude oil prices rose over 3% to above $100 per barrel; however, despite this typically leading to higher bond yields, the 10-year Treasury yield fell about 10 basis points to 4.32%, reflecting a cautious market response to short-term energy cost spikes.
  • TJX Dividend and Buyback: TJX Companies announced a 14% increase in its quarterly dividend to $0.48 per share and plans to repurchase approximately $2.5 billion to $2.75 billion of stock in the current fiscal year, signaling confidence in future earnings and cash flow growth, despite a modest dividend yield of 1.2%.
  • Strong Long-term Performance: TJX shares have risen 298% over the past decade, with a total return of 358% when including reinvested dividends, demonstrating the company's consistent execution and off-price model's effectiveness in attracting value-seeking shoppers.
Wall Street analysts forecast Q stock price to rise
9 Analyst Rating
Wall Street analysts forecast Q stock price to rise
9 Buy
0 Hold
0 Sell
Strong Buy
Current: 0.000
sliders
Low
92.00
Averages
105.89
High
117.00
Current: 0.000
sliders
Low
92.00
Averages
105.89
High
117.00
Mizuho
John Roberts
Outperform
maintain
$145 -> $150
AI Analysis
2026-04-08
Reason
Mizuho
John Roberts
Price Target
$145 -> $150
AI Analysis
2026-04-08
maintain
Outperform
Reason
Mizuho analyst John Roberts raised the firm's price target on Qnity Electronics to $150 from $145 and keeps an Outperform rating on the shares. The firm updated its interconnect chemicals and materials outlooks following a review of the latest S&P Global projections. The semiconductor silicon and interconnect processing markets are now expected to grow 6.5% annually through 2030, while the printed circuit board market is forecast to expand 4%, the analyst tells investors in a research note. Mizuho says electronic chemicals and materials are the fastest growth and among largest specialty areas.
RBC Capital
Outperform
maintain
$133 -> $139
2026-03-02
Reason
RBC Capital
Price Target
$133 -> $139
2026-03-02
maintain
Outperform
Reason
RBC Capital raised the firm's price target on Qnity Electronics to $139 from $133 and keeps an Outperform rating on the shares after its Q4 earnings beat. The firm is positive on the company as it continues to put up solid top line and EBITDA growth while noting that its EBITDA margins could trend higher if customer capacity utilization continues to ramp, the analyst tells investors in a research note.
Unlock Full Analyst Thesis, Get the complete breakdown of rating reason for Q
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Valuation Metrics

The current forward P/E ratio for Qnity Electronics Inc (Q.N) is 35.46, compared to its 5-year average forward P/E of 29.04. For a more detailed relative valuation and DCF analysis to assess Qnity Electronics Inc's fair value, Click here.

Forward PE

The forward P/E ratio is a valuation metric that divides a company's current stock price by its estimated future earnings per share over the next 12 months.
StronglyUndervaluedUndervaluedFairOvervaluedStronglyOvervalueddotted line Image
5Y Average PE
29.04
Current PE
35.46
Overvalued PE
31.89
Undervalued PE
26.20

Forward EV/EBITDA

The forward EV/EBITDA ratio is a valuation metric that divides a company's enterprise value (EV) by its estimated future earnings before interest, taxes, depreciation, and amortization (EBITDA) over the next 12 months.
StronglyUndervaluedUndervaluedFairOvervaluedStronglyOvervalueddotted line Image
5Y Average EV/EBITDA
15.57
Current EV/EBITDA
21.25
Overvalued EV/EBITDA
18.20
Undervalued EV/EBITDA
12.94

Forward PS

The forward P/S ratio is a valuation metric that divides a company's current stock price by its estimated future sales (or revenue) per share over the next 12 months.
StronglyUndervaluedUndervaluedFairOvervaluedStronglyOvervalueddotted line Image
5Y Average PS
3.94
Current PS
5.05
Overvalued PS
4.42
Undervalued PS
3.45

Financials

AI Analysis
Annual
Quarterly

Whales Holding Q

D
Durable Capital Partners, LP
Holding
Q
+61.13%
3M Return
S
Slate Path Capital LP
Holding
Q
+17.24%
3M Return
M
Merewether Investment Management LP
Holding
Q
+16.84%
3M Return
H
Hite Hedge Asset Management LLC
Holding
Q
+11.93%
3M Return
M
Mondrian Investment Partners Limited
Holding
Q
+8.29%
3M Return
S
Scout Investments, Inc.
Holding
Q
+7.17%
3M Return

Trading Trends

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Frequently Asked Questions

What is Qnity Electronics Inc (Q) stock price today?

The current price of Q is 134.355 USD — it has increased 2.33

What is Qnity Electronics Inc (Q)'s business?

Qnity Electronics, Inc. is engaged in providing materials and solutions for semiconductor and electronics industries. The Company has two business segments, namely Semiconductor Technologies and Interconnect Solutions. The Semiconductor Technologies segment provides a portfolio of materials and solutions utilized across multiple stages of the semiconductor manufacturing process. These materials are integrated into customers’ roadmaps and are intended to support improvements in chip performance, production yield, and the implementation of advanced node technologies. The Interconnect Solutions segment offers a comprehensive range of material solutions that address the complexities of signal integrity, thermal and power management, and advanced packaging. These solutions are used in advanced electronics hardware applications, including complex printed circuit boards and advanced semiconductor packaging.

What is the price predicton of Q Stock?

Wall Street analysts forecast Q stock price to rise over the next 12 months. According to Wall Street analysts, the average 1-year price target for Q is105.89 USD with a low forecast of 92.00 USD and a high forecast of 117.00 USD. However, analyst price targets are subjective and often lag stock prices, so investors should focus on the objective reasons behind analyst rating changes, which better reflect the company's fundamentals.

What is Qnity Electronics Inc (Q)'s revenue for the last quarter?

Qnity Electronics Inc revenue for the last quarter amounts to 1.19B USD, decreased

What is Qnity Electronics Inc (Q)'s earnings per share (EPS) for the last quarter?

Qnity Electronics Inc. EPS for the last quarter amounts to 0.47 USD, decreased

How many employees does Qnity Electronics Inc (Q). have?

Qnity Electronics Inc (Q) has 10000 emplpoyees as of April 17 2026.

What is Qnity Electronics Inc (Q) market cap?

Today Q has the market capitalization of 27.50B USD.