AAPL332.21-0.06 (-0.02%) session● PRIOR SESSION CLOSE
analyst tearsheet — six separate real reads on one card

AAPL analyst tearsheet

Relative strength vs SPY, market beta and alpha, short interest, dividend yield, the next earnings date and the moving-average trend — six separate real reads, each shown with its own status.

Method and inputs

Every component is computed separately on real history and keeps its own status, and the six are never blended into one score. Beta (β) is how much the name moves with the benchmark — 1.00 is one-for-one; alpha (α) is the annualized return left once that market sensitivity is accounted for; R² is the share of the name's daily move the benchmark explains, from 0 to 1; days to cover is short interest ÷ average daily volume.

AAPL6/6 live · vs SPY
Relative strength
+11.66pt
leading · fading · vs SPY
Beta & alpha
β 1.07vs SPY
α +3.75%/yr · R² 0.37 · 493 daily returns
Short interest
3.53d cover
0.96% float · moderate short interest
Dividend
0.33%fwd
TTM 0.32% · quarterly
Next earnings
2026-10-28amc
Moving-average trend
upgolden
+6.19 vs 50-day · 243d since cross
Fundamentals & valuation real
Market cap
$4.8T
P / E (TTM)
37.6×
price ÷ trailing-12-month EPS
EPS (TTM)
$8.72
Net margin
27.6%
trailing twelve months
Return on equity
137.2%
52-week range
227 – 345

Each component is a separate real read — relative strength vs SPY, market beta/alpha, short interest, dividend yield, the next earnings date, and the moving-average trend — shown with its own status, never blended into one score. 6 of 6 components have a live value.