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Amphenol APH

equity

Price History

$0.0820$58.83$117.57$176.32
1991-11 · DCA start$0.121

Time underwater

How far below its previous all-time high the price sat, each month. 0% means a new high.

-53.1%-35.4%-17.7%0.0%
1991-112026-08 · -3.6%

Worst drawdown: 53%, peaking Jun 2000 and bottoming Sep 2002 48 months below the prior high before recovering.

DCA Backtest

Invested
$41,800
Value today
$7,386,598
Return
+17571.3%
Months invested
418

Scenarios

Inflation — the same contributions merely keeping pace with CPI would be $67,933 today, so the real (inflation-adjusted) return is +10773.4%.

Lump sum instead — $41,800 all at once in Nov 1991: $58,667,881 (+140253.8%) — lump sum came out ahead.

Worst timing — same monthly amount started at the all-time high (Jun 2026): $302.16 on $300 invested (+0.7%).

⚠ Price returns only — dividends are not included. This understates the true return of dividend-paying shares, and any comparison against crypto (which pays no dividends) is biased against equities by roughly the dividend yield, compounded.

If this saved you a spreadsheet — buy me a coffee.

Every start month at once

Each cell is the return-to-date of £/$/€100-a-month DCA started that month. Click a cell to load it in the backtest above. The ringed cell is the all-time-high start — the worst timing scenario.

JFMAMJJASOND
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Legend:−50%−20%0%+50%+200%+1000%worst timing (ATH)Selected 1991-11: +17571.3%

About Amphenol

Amphenol Corporation is an American producer of electronic and fiber optic connectors, cable and interconnect systems such as coaxial cables. Amphenol is a portmanteau from the corporation's original name, American Phenolic Corp. (Wikipedia)

It's a listed company categorised under information technology and electronic components, with a market cap of about $209.6B.

It rates Medium-High Risk at 2.6/5, meaning real but ordinary risk — the kind most mainstream assets carry, with some factors scoring poorly.

What pushes the score up: earnings quality (4.0/5) and market / volatility (3.3/5).

Scoring well: sector / regulatory at 1.0/5.

Not yet researched: concentration, governance. These are excluded from the score rather than guessed, so the real risk may be higher than what’s shown.

Ratings summarise sourced facts against fixed rules — not investment advice, and no substitute for your own diligence.

Risk Profile

Medium-High Risk(2.6/5)80% rated

How these ratings work

Market / Volatility3.3/5 · weight 20%
  • Annualised volatility (3yr)3/526.3
  • Max drawdown from ATH3/553.1
  • Beta vs S&P 5004/51.3
Liquidity1.0/5 · weight 15%
  • Avg daily $ volume1/51.6bn
  • Float % of shares outstandingnot yet researched
Leverage / Financial3.0/5 · weight 20%
  • Debt / equity3/51.1
  • Interest coverage (EBIT / interest)not yet researched
Earnings Quality4.0/5 · weight 15%
  • 3yr EPS volatility4/535.4
Concentrationunrated · weight 10%
  • Largest customer, % of revenuenot yet researched
  • Geographic revenue concentrationnot yet researched
Governanceunrated · weight 10%
  • Board independence %not yet researched
  • Share structurenot yet researched
  • Litigation / audit historynot yet researched
Sector / Regulatory1.0/5 · weight 10%
  • Sector regulatory exposure1/5low