ANET - Arista Networks Inc
A networking equipment specialist whose cloud-grade switches and software are the backbone of hyperscaler data centers, AI clusters, and large enterprise networks.
Finlify Score
67.0 / 100
Data Quality
FULL
Penalty
0.0
Sector
Information Technology
Close Price
$169.09
+3.58%
52W Range
$85.58 - $179.80
Market Cap
$200.8B
+3.6%Compared to previous day
2026 Q1 Revenue
$2.7B
+8.9%Changes from last reporting quarter
2026 Q1 EPS
$0.80
Diluted shares
Analyst Rating
34 analysts in latest ratings feed
RSI
57.9
40-70 moderate
2Y Range Position
91%
-6.0% from high / +184.5% from low
Beta
1.61
Relative to market benchmark
MACD
0.36
MACD line 2.42 / signal line 2.06
Fundamental Trend
Growth 83.0Financial Health
Quality 74.6Data Quality
FULLValuation Reference
Price Chart
Close price, two-year source window
Finlify Score
WATCH67.0 / 100
Score History
Finlify Score and component trend
Financial Statements
Calendar year view. Figures are estimates only. For official figures, refer to the company website.
| 2026 Q1 | 2025 Q4 | 2025 Q3 | 2025 Q2 | |
|---|---|---|---|---|
| Revenue | $2.7B+8.9% | $2.5B+7.8% | $2.3B+4.7% | $2.2B+10.0% |
| Gross Profit | $1.7B+7.2% | $1.6B+4.9% | $1.5B+3.6% | $1.4B+12.7% |
| Operating Income | $1.2B+12.1% | $1.0B+5.6% | $978M-0.8% | $986M+14.8% |
| Net Income | $1.0B+7.0% | $956M+12.1% | $853M-4.0% | $889M+9.2% |
Columns use the calendar quarter of each reported period end date. QoQ is shown for adjacent company reporting quarters only.
AI Signal
Generated Jun 16, 2026
Finlify's signal for ANET is 'WATCH', with an overall score of 68.2/100, suggesting a balanced outlook. The signal appears to be supported by strong fundamental trends and relative strength, though accumulation metrics are lower.
Technical
The asset demonstrates strong Relative Strength at 71.9/100, indicating robust price performance, with a 10.4% return over 20 days and 20.0% over 60 days. Its RSI(14) is at 55.5, and it is currently -8.2% from its 52-week high. However, the Accumulation / Volume score is relatively low at 27.6/100, which may suggest less strong buying pressure despite recent gains.
Fundamentals
Fundamental Trend is strong at 83.0/100, complemented by a solid Financial Quality score of 74.6/100, suggesting healthy underlying business performance as of the latest financial period ending 2026-03-31. However, valuation multiples appear elevated, with a P/E of 57.3x, P/B of 13.3x, and P/S of 22.3x. The asset has a Beta of 1.6, indicating higher volatility relative to the broader market.
Macro Context
With a Beta of 1.6, ANET may experience amplified movements in the current macro environment, which includes a 4.3% CPI YoY and a 0.4% positive yield spread, suggesting potential for continued economic growth but also inflationary pressures and market sensitivity.
Key Risks
- Elevated valuation multiples, such as a P/E of 57.3x and P/S of 22.3x, may suggest limited upside potential or increased sensitivity to market corrections.
- A relatively low Accumulation / Volume score of 27.6/100 could indicate weaker underlying buying interest despite recent price gains.
- The asset's higher Beta of 1.6 suggests it may be more susceptible to market volatility, particularly in an environment with a 4.3% unemployment rate and ongoing inflation concerns.