Advanced Micro Devices, Inc. (AMD) Stock Analysis: Forecast, Fundamentals, & Trading Strategies

Hey there, fellow investors! Today, we’re diving deep into Advanced Micro Devices, Inc. (AMD), a powerhouse in the Semiconductors industry with a market cap of 354.15 billion. The big question on everyone’s mind is always the same: is AMD’s current stock price a fair reflection of its value, and is this company primed for future growth? It’s crucial to understand if investing in AMD right now is a smart move, so let’s break down how this stock is performing in the current market.

What You Need to Know About AMD Right Now

As of late November 2025, AMD’s stock is trading at $217.53. We’re seeing a short-term pullback here, but it’s happening within a broader uptrend. The stock is currently below its 50-day moving average but still comfortably above its 200-day average, which suggests underlying strength.

Analysts are generally optimistic, with a 1-year average price target of $283.57, indicating a potential 30.4% upside from the current price. However, don’t let that fool you—this stock is known for its volatility, with an impressive 56.8% annualized volatility, meaning you should be ready for some wide price swings.

From a fundamental perspective, Advanced Micro Devices, Inc. presents a nuanced picture. The company boasts solid revenue growth, up 35.60% year-over-year, which is fantastic. On the flip side, it’s carrying a significant debt load, with a Debt/Equity ratio of 6.37x. This is something to keep a close eye on.

What We’ll Cover in This In-Depth Analysis

We’re not just throwing numbers at you; we’re breaking down AMD’s stock from every angle to help you make an informed decision:

  • Is now a good time to buy AMD? Technically, things look “Neutral,” with the Relative Strength Index (RSI) at 30.4. Fundamentally, we’re urging caution, primarily due to current debt levels and some growth metrics.
  • Can AMD’s core operations drive future growth? The company’s future hinges significantly on its performance in core Semiconductor operations and its ability to navigate intense competitive pressures.
  • What are the biggest risks? AMD holds 3.87 billion in debt, which could become a headwind, especially in a rising interest rate environment. Plus, competition in the semiconductor space is always fierce, both from established giants and nimble new entrants.

Forget the jargon-filled reports or overly simplistic “just buy it” advice. Our goal is to provide you with clear, actionable insights, whether you’re building a long-term portfolio or looking for short-term trading opportunities. Let’s delve into the data to see if Advanced Micro Devices, Inc. is the right investment to help your money grow.

Key Metrics & Advanced Micro Devices (AMD) Forecast Snapshot

Let’s kick things off with a quick overview of AMD’s most crucial metrics and what the immediate future might hold.

Metric Category Metric Value Insights
Current Price Live Market Price $217.53 As of November 2025
Price Targets & Forecasts 1-Month Forecast $233.01 📈 +7.1% potential upside
1-Year Forecast $125.46 📉 -42.3% potential downside
Analyst Mean Target $283.57 📈 +30.4% potential upside
Trend & Momentum Trend ⚖️ Mixed Trend Neither strongly bullish nor bearish short-term
RSI (14-day) 30.4 (Neutral) ⚖️ Balanced momentum, not overbought or oversold
MACD 📉 Bearish Short-Term Trend (-1.41) Suggests minor pullbacks possible
Key Technical Levels Above SMA 50 $235.43 Currently below the 50-day Simple Moving Average
Above SMA 200 $171.07 Comfortably above the 200-day Simple Moving Average
52-Week Range 📏 $76.48 – $267.08 Significant price fluctuations over the past year
Volatility Volatility (30d Ann.) 56.8% 🌪️ High annualized volatility, expect large price swings
Beta (vs. Market) 1.91x 🎢 High sensitivity to overall market movements
Green Days (30d) 15/30 (50%) 🟡 Half of recent trading days were positive
Ownership Institutional Ownership 69.95% 🏛️ Strong backing from large institutions
Short % of Float 2.51% 😐 Moderate short interest, not a significant bearish bet

Right now, AMD’s stock is trading at $217.53. If you look at the technical indicators, we’re seeing a bit of a mixed pattern. While the price is holding above its 200-day moving average (at $171.07), which is a bullish sign, it’s slipped below its 50-day moving average (at $235.43). This suggests some short-term weakness within a longer-term uptrend.

The Relative Strength Index (RSI) is sitting at 30.4, which is firmly in the neutral zone—meaning it’s neither overbought nor oversold. However, the MACD indicator points to a bearish short-term trend. This could signal minor pullbacks before the stock decides on its next major move.

Over the past year, AMD’s stock has shown considerable movement, trading between $76.48 and $267.08. This wide 52-week range indicates that investor sentiment has been quite varied. The current price is roughly in the middle, suggesting that extreme swings might be less likely unless a major catalyst emerges.

What’s interesting is that while a model-based 1-year forecast suggests a potential downside to $125.46 (-42.3%), the average consensus target from analysts is much more optimistic, at $283.57 (+30.4%). This divergence highlights the differing views on AMD’s near-term trajectory. With institutional ownership at a robust 69.95% and relatively low short interest at 2.51%, major investors are largely betting on AMD’s long-term success.

Detailed AMD Price Forecast Table: 2025-2026 Outlook

Here’s a detailed breakdown of the model-based month-by-month forecast for AMD, covering a range from $75.48 to $233.01. This table shows projected price bands, the potential Return on Investment (ROI) compared to the current price, and the resulting model signal for each period.

Month (Period) Min. Price Avg. Price Max. Price Potential ROI vs Current ($217.53) Model Signal
2025-11 $233.01 $233.01 $233.01 ▲ 7.1% Consider Buy
2025-12 $92.32 $121.04 $153.70 ▼ -44.4% Consider Short
2026-01 $83.80 $120.60 $153.85 ▼ -44.6% Consider Short
2026-02 $89.95 $121.43 $145.81 ▼ -44.2% Consider Short
2026-03 $97.86 $120.53 $153.08 ▼ -44.6% Consider Short
2026-04 $87.07 $116.59 $147.93 ▼ -46.4% Consider Short
2026-05 $75.48 $109.40 $141.74 ▼ -49.7% Consider Short
2026-06 $90.36 $114.43 $146.91 ▼ -47.4% Consider Short
2026-07 $87.18 $121.00 $168.76 ▼ -44.4% Consider Short
2026-08 $101.02 $128.72 $173.69 ▼ -40.8% Consider Short
2026-09 $91.09 $127.57 $170.72 ▼ -41.4% Consider Short
2026-10 $92.62 $125.46 $155.82 ▼ -42.3% Consider Short
2026-11 $108.93 $141.62 $182.30 ▼ -34.9% Consider Short

Over the forecast horizon, from November 2025 to November 2026, the model projects AMD’s price to fluctuate between approximately $75.48 and $233.01. The projected price range remains relatively consistent throughout this period, implying a stable level of forecast uncertainty. Remember, these forecasts are model-based and inherently uncertain; they don’t guarantee future prices.

Company Profile: Advanced Micro Devices, Inc. (AMD)

Let’s take a closer look at the company behind the ticker. Understanding AMD’s core business is essential for any investor.

Metric Value
Sector Technology
Industry Semiconductors
Market Cap 354.15 billion
Employees 28,000
Website https://www.amd.com

Company Description

Advanced Micro Devices, Inc. is a global semiconductor company with operations spanning three key segments: Data Center, Client and Gaming, and Embedded. They’re a major player in the tech world, powering everything from personal computers to massive data centers.

The company offers a broad portfolio of products, including artificial intelligence (AI) accelerators, x86 microprocessors, and graphics processing units (GPUs). These can be standalone devices or integrated into accelerated processing units, chipsets, and professional GPUs. They also provide embedded processors and semi-custom system-on-chip (SoC) products, along with development services and technology.

AMD’s impressive lineup includes processors under well-known brands like AMD Ryzen, AMD Ryzen AI, AMD Ryzen PRO, AMD Ryzen Threadripper, AMD Athlon, and AMD PRO A-Series. Their graphics offerings include AMD Radeon graphics and AMD Embedded Radeon graphics, with professional graphics under the AMD Radeon Pro brand. They’re also heavily involved in AI and general-purpose compute infrastructure for hyperscale providers.

For data centers, you’ll find AMD Instinct accelerators and Radeon PRO V-series brands. Their server microprocessors are branded AMD EPYC. AMD also offers low-power solutions under various brands, including AMD Athlon, AMD Geode, AMD Ryzen, and AMD EPYC.

Beyond traditional CPUs and GPUs, AMD provides FPGA products (Virtex-6, Virtex-7, Virtex UltraScale+, Kintex-7, Artix-7, Spartan-6, Spartan-7), adaptive SOCs (Zynq-7000, Zynq UltraScale+ MPSoC, Versal HBM, Versal Premium, Versal AI Core, Versal AI Edge), and compute and network acceleration board products (Alveo and Pensando). They serve a wide array of clients, including original equipment and design manufacturers, public cloud service providers, system integrators, and distributors. Founded in 1969, AMD is headquartered in Santa Clara, California.

Advanced Micro Devices (AMD) Total Valuation Insights

Understanding a company’s valuation goes beyond just its market cap. Let’s look at AMD’s financial structure and how the market is pricing its assets and earnings.

While Advanced Micro Devices, Inc. boasts a substantial market cap of 354.15 billion, its enterprise value of 350.77 billion is slightly lower. This difference reflects a strong net cash position of approximately 3.38 billion, which is a significant financial strength. This cash cushion provides AMD with valuable flexibility for future investments, acquisitions, or navigating economic headwinds.

The valuation ratios tell an interesting story: AMD trades at 10.95x revenue and 57.94x EBITDA. These multiples are certainly at a premium compared to many of its peers, which suggests the market recognizes AMD’s strong position, innovative products, and brand assets. However, this premium also implies that the stock may have less room for error. Essentially, investors are paying for quality and growth potential, and as we know, quality rarely comes cheap.

Metric Value
Market Cap 354.15 B
Enterprise Value 350.77 B
EV/Revenue (TTM) 10.95x
EV/EBITDA (TTM) 57.94x
Ex-Dividend Date 1995-04-27

Advanced Micro Devices (AMD) Share Statistics & Ownership Breakdown

Who owns AMD, and how much of its stock is available for trading? These details can significantly impact a stock’s liquidity and investor sentiment.

Almost all of AMD’s 2 billion shares are publicly available as float, meaning there isn’t a significant amount locked up. This high float generally allows investors to trade the stock without causing drastic price shifts, which is a good sign for liquidity. However, it’s always worth noting that a company could issue more shares, potentially diluting the value of existing stock.

Interestingly, executives and major shareholders own a relatively small portion of the company, just 0.45%. This might suggest they don’t have a substantial amount of “skin in the game” if the company faces challenges. On the other hand, the level of institutional ownership is quite healthy, coming in at 69.95%. This strong institutional backing often provides a degree of stability and confidence in the stock, as these are typically long-term, sophisticated investors.

Now, let’s talk about short interest. With 41 million shares currently shorted, which accounts for 2.51% of the float, it suggests that bearish sentiment isn’t overwhelmingly strong. This moderate level indicates that short sellers aren’t expressing widespread concern for the company. Keep an eye on changes in short interest; a sharp increase could signal growing doubt among some investors, while very low short interest during positive news can sometimes prevent a ‘short squeeze’.

Metric Value
Shares Outstanding 2 B
Implied Shares Outstanding 2 B
Shares Float 2 B
Insider Ownership 0.45%
Institutional Ownership 69.95%
Shares Short 41 M
Short Ratio (Days To Cover) 0.70x
Short % of Float 2.51%
Shares Short (Prior Month) 39 M
Short Date 2025-11-14

Deep Dive into AMD’s Valuation Metrics

Valuation metrics offer a window into how the market perceives AMD’s future potential relative to its current financial performance. It’s not just about the price tag; it’s about what you’re getting for it.

AMD’s valuation metrics, particularly its Trailing P/E at a hefty 113.89x and a Forward P/E of 42.65x, definitely reflect a premium. This suggests investors are pricing in substantial future earnings growth, demanding careful consideration. Meanwhile, the Price/Sales ratio stands at $11.06 and Price/Book at $5.83, both indicating that the company trades at multiples that warrant attention. These figures are crucial for understanding AMD’s market positioning and how it stacks up against industry benchmarks.

From an enterprise value perspective, AMD’s EV/Revenue ratio of 10.95x indicates a reasonable revenue-based valuation. However, the EV/EBITDA multiple of 57.94x suggests a potentially stretched valuation when looking at earnings before interest, taxes, depreciation, and amortization. Collectively, these valuation metrics offer a comprehensive view of AMD’s current standing in the market, highlighting both its perceived strengths and areas where investors might demand higher justification for its price.

Metric Value
Trailing P/E 113.89x
Forward P/E 42.65x
Price/Sales (TTM) $11.06
Price/Book (MRQ) $5.83
EV/Revenue (TTM) 10.95x
EV/EBITDA (TTM) 57.94x

Advanced Micro Devices (AMD) Financial Health & Stability

A company’s financial health is the bedrock of its long-term viability. Let’s dig into AMD’s balance sheet and cash flow to understand its strengths and weaknesses.

AMD’s financial data reveals a mix of strengths and areas for close monitoring. The Return on Equity (ROE) of 5.32% and Return on Assets (ROA) of 2.60% suggest a highly efficient use of capital, which is often a hallmark of fast-growing firms. However, the 6.37x Debt/Equity ratio, with 3.87 billion in total debt compared to 7.24 billion in cash, clearly indicates that AMD has taken on a significant level of debt to fuel its operations and growth. This leverage requires careful attention, especially in a dynamic economic environment.

Despite this debt, AMD’s ability to generate 6.41 billion in operating cash flow (TTM) is a major positive. This demonstrates that its core business can consistently produce cash, providing a robust foundation. Furthermore, the Current Ratio of 2.31x and Quick Ratio of 1.18x point to a solid liquidity position, meaning the company is well-equipped to cover its short-term liabilities. The 3.25 billion in levered free cash flow further suggests that AMD can generate substantial cash for shareholders even after meeting all its financial obligations, which is a strong indicator of financial flexibility.

Metric Value
Return on Equity (ROE TTM) 5.32%
Return on Assets (ROA TTM) 2.60%
Debt/Equity (MRQ) 6.37x
Total Cash (MRQ) 7.24 B
Total Debt (MRQ) 3.87 B
Current Ratio (MRQ) 2.31x
Quick Ratio (MRQ) 1.18x
Operating Cash Flow (TTM) 6.41 B
Levered Free Cash Flow (TTM) 3.25 B

AMD Financial Efficiency Analysis: Asset & Capital Utilization

How effectively is AMD using its assets and capital to generate revenue and profits? Efficiency ratios give us a clearer picture of operational prowess.

Advanced Micro Devices’s Asset Turnover of 0.46x indicates that it generates $0.46 in revenue for every dollar of assets. This suggests a lower efficiency in asset utilization, which might be an area for improvement. Its Inventory Turnover at 2.28x means AMD sells and replaces its inventory roughly 2.3 times annually, which translates to about 160.1 Days Inventory Outstanding. This pace suggests a somewhat slower movement of inventory that could potentially tie up capital.

On the collection side, Receivables Turnover is 5.17x, resulting in 70.6 Days Sales Outstanding. This reflects slower collections from customers, an area that might need attention to optimize cash flow. However, the Working Capital Turnover of 2.72x signals efficient use of short-term assets to support sales, which is positive. This efficiency is further bolstered by a strong Current Ratio of 2.31x, indicating excellent liquidity.

The Cash Conversion Cycle, estimated at approximately 230.7 days (partial), suggests it takes about 7.7 months to convert inventory and receivables into cash. This extended cycle could strain working capital if not managed carefully. Finally, AMD’s Return on Invested Capital (ROIC) of 5.28% shows moderate capital efficiency, indicating how effectively the company generates returns from its invested capital. Overall, while AMD shows strengths in liquidity and working capital use, higher asset utilization could further boost profitability. It’s always smart to compare these figures with industry peers to assess competitive positioning.

Metric Value
Asset Turnover (TTM) 0.46x
Inventory Turnover (TTM) 2.28x
Receivables Turnover (TTM) 5.17x
Working Capital Turnover (TTM) 2.72x
Current Ratio (MRQ) 2.31x
Days Sales Outstanding 70.6
Days Inventory Outstanding 160.1
Cash Conversion Cycle ~230.7 days (partial)
Return on Invested Capital (ROIC TTM) 5.28%

AMD Profitability and Growth: Margins & Revenue Drivers

At the end of the day, investors want to see a company that can grow its top line and convert that into healthy profits. Let’s analyze AMD’s profitability and growth metrics.

An analysis of AMD’s margin performance reveals a company with solid control over its costs and pricing strategies. The gross margin of 51.46% clearly shows their success in managing production costs, while the 13.74% operating margin indicates strong profitability from its core operations. Furthermore, an 18.90% EBITDA margin suggests AMD is generating robust cash flow from its operations before factoring in financing and tax strategies.

Considering all these factors, AMD retains approximately $10.320 in net profit for every dollar of revenue earned over the last twelve months. While the company’s revenue is increasing at an aggressive rate of 35.60% year-over-year, investors should closely monitor whether this rapid pace can be sustained without eroding those impressive profit margins.

AMD’s 6.05 billion in EBITDA and 16.48 billion in gross profit highlight its substantial raw earning power. The 3.13 billion in net income further demonstrates how effectively this power translates into bottom-line results. The company appears to be striking a good balance between pursuing aggressive growth and maintaining profitability. However, there’s a noticeable gap between the gross and net margins (51.46% vs. 10.32%). This difference is likely due to significant operating expenses, interest costs, or taxes, which are key areas for investors to scrutinize.

Moving forward, maintaining steady or improving margins will be critical for AMD. The company will need to defend its pricing power and keep operating costs in check to sustain profitability, especially if revenue growth eventually moderates. These metrics are vital for assessing AMD’s financial health and future potential.

Metric Value
Profit Margin (TTM) 10.32%
Operating Margin (TTM) 13.74%
Gross Margin (TTM) 51.46%
EBITDA Margin (TTM) 18.90%
Revenue (TTM) 32.03 B
Quarterly Revenue Growth (YoY) 35.60%
Gross Profit (TTM) 16.48 B
EBITDA (TTM) 6.05 B
Net Income (TTM) 3.13 B
Earnings Growth (YoY) 60.30%

AMD Dividends & Shareholder Returns: What Investors Need to Know

For many investors, dividends are a key component of total shareholder return. Let’s see how AMD stacks up in this area.

Dividend Summary & Investor Implications

Based on the available data, AMD does not currently pay a regular dividend. This tells us a lot about the company’s strategic priorities. It suggests that AMD is likely reinvesting its earnings back into the business to fuel further growth, research and development, or strategic acquisitions, rather than distributing profits directly to shareholders through dividends.

While this might not appeal to income-focused investors, it can be a positive sign for growth-oriented investors who believe the company’s reinvestment will lead to higher stock price appreciation in the future. The last recorded ex-dividend date was way back on 1995-04-27, which further confirms its long-standing focus on internal growth.

Metric Value
Payout Ratio 0.00%
Trailing Dividend Yield 0.00%
Ex-Dividend Date 1995-04-27
Last Split Date 2000-08-22
Last Split Factor 2:1

Advanced Micro Devices (AMD) Technical Analysis: Short-Term Trends & Key Levels

Now, let’s shift our focus to the charts and indicators to understand AMD’s recent price action and what it might signal for the near future. Technical analysis is all about understanding market psychology through price and volume.

CURRENT PRICE: $217.53 | TREND: BULLISH BUT SHOWS SIGNS OF SLOWING

AMD stock has experienced some downward pressure recently, losing -12.27% in the last 15 days. The big question for traders and investors alike is whether this is an attractive buying opportunity or a warning sign of further declines. Let’s break down the key technical levels.

Trend Strength – Still Bullish

Despite recent dips, AMD is still trading above its critical long-term moving averages, which is a good sign that the overall uptrend remains intact. Specifically, the 20-day Simple Moving Average (SMA) at $227.06 is currently acting as a dynamic support level. As long as AMD can hold above this 20-day SMA, the bullish momentum could continue. However, watch out: rapid price increases can push the stock too far from its averages, increasing the risk of a sharp pullback.

Momentum Check – Is Momentum Fading?

The Relative Strength Index (RSI) is currently at 30.4, placing it in a neutral zone. This indicates a relatively balanced momentum, meaning the stock is neither overbought nor oversold. At the same time, the MACD histogram is showing negative values, which suggests that the upward momentum might be starting to fade. For traders, this neutral RSI reading offers flexibility. Keep an eye out for a decisive MACD crossover or a clear break of a key support or resistance level for the next strong directional clue.

Bollinger Bands – Testing Key Levels

AMD is currently trading near the middle of its Bollinger Bands, with the 20-day SMA also at $227.06. The lower Bollinger Band, currently at $190.55, could offer the next significant level of support if the price continues to drop.

Key Levels to Watch:

  • Resistance: The recent high of $263.88 is a critical resistance level. A confirmed breakout above this point could propel AMD significantly higher.
  • Support: The 20-day SMA at $227.06 is immediate support. If this level breaks, expect a test of the lower Bollinger Band at $190.55.

Volume Trends – Checking for Conviction

Trading volume for AMD is currently near its recent average. This provides neutral confirmation of the current price action, meaning there’s no overwhelming buying or selling pressure indicated by volume alone. However, a potential concern here is that rallies on low volume can sometimes be prone to sharp reversals. If we don’t see a significant surge in buying interest to confirm any upward moves, a pullback becomes more likely.

Support & Resistance – The Trading Plan

Here’s a simplified trading plan based on these technical observations:

  • If AMD holds above $227.06: The bullish trend is likely to continue, with the next target at $263.88.
  • ⚠️ If it breaks below $227.06: Expect a dip towards $190.55.
  • 🛑 A drop below $190.55: This could trigger a deeper correction, potentially heading towards the 200-day SMA at $171.07.

Final Verdict – Should You Buy, Hold, or Sell AMD?

  • Short-Term Traders: The trend is positive, but watch for signs of exhaustion. A neutral stance might be best until the MACD or volume provide clearer signals.
  • Long-Term Investors: The long-term uptrend remains valid as long as the price stays above the 200-day SMA ($171.07). A pullback to the area around the 50-day SMA ($235.43) could present a safer buying opportunity.
  • New Buyers: Avoid chasing the rally right now. It’s wiser to wait for either a confirmed breakout above $263.88 with strong volume, or a pullback to the $227.06 area, which would offer a more favorable risk/reward entry point.

Bottom Line: The technical indicators suggest that the current rally might be losing steam in the short term. While the long-term trend for AMD remains bullish, a correction seems plausible before the next significant move. Trade carefully and always wait for confirmation at key levels.

AMD Historical Price Performance: Recent Trading Activity

Let’s look at AMD’s recent trading history, specifically the last 15 days from November 14, 2025, to November 28, 2025. During this period, AMD’s stock posted a return of -11.86%. The trading range was between $194.28 and $253.44, with an average daily volume of 51,263,333 shares. This shows a period of moderate pullback and active trading.

Advanced Micro Devices (AMD) Recent Daily Trading Data

Date Open High Low Close Volume
2025-11-28 $216.14 $218.30 $214.02 $217.53 18,658,000
2025-11-27 $210.05 $215.59 $207.00 $214.24 43,270,200
2025-11-26 $210.05 $215.59 $207.00 $214.24 43,270,200
2025-11-25 $201.48 $206.58 $194.28 $206.13 69,773,500
2025-11-24 $207.16 $217.13 $205.85 $215.05 46,749,600
2025-11-23 $208.81 $208.83 $195.00 $203.78 67,421,100
2025-11-22 $208.81 $208.83 $195.00 $203.78 67,421,100
2025-11-21 $208.81 $208.83 $195.00 $203.78 67,421,100
2025-11-20 $232.70 $234.25 $204.53 $206.02 66,342,900
2025-11-19 $230.26 $235.28 $219.71 $223.55 52,093,400
2025-11-18 $236.78 $238.00 $224.71 $230.29 45,619,900
2025-11-17 $242.75 $248.77 $237.15 $240.52 37,942,200
2025-11-16 $240.11 $253.44 $235.08 $246.81 47,655,600
2025-11-15 $240.11 $253.44 $235.08 $246.81 47,655,600
2025-11-14 $240.11 $253.44 $235.08 $246.81 47,655,600

AMD Stock Price Statistics: Volatility & Moving Averages

When we zoom out to look at the past year, AMD’s stock has seen a high of $267.08 and a low of $76.48. This wide range tells us the stock has been quite volatile, likely reacting to significant market sentiment shifts or company-specific news. It’s definitely not a stock for the faint of heart!

Currently, the 50-day moving average sits at $218.80, and the 200-day moving average is at $150.51. The fact that the 50-day MA is above the 200-day MA is often seen as a “golden cross,” which is a bullish signal indicating positive long-term momentum. This suggests that despite recent short-term pullbacks, the underlying trend remains strong.

AMD carries a Beta of 1.91x, which means it tends to move much more sharply than the broader market—about 91% more volatile, to be precise. Couple that with a high 30-day annualized volatility of 56.8%, and it’s clear this stock experiences frequent and significant price swings. For investors, this translates to both higher potential for gains and, crucially, higher downside risk. These indicators are really important when you’re deciding on position sizing or entry timing, especially if you’re trying to balance stability with growth exposure in your portfolio.

Metric Value
52 Week High $267.08
52 Week Low $76.48
50 Day MA $218.80
200 Day MA $150.51
Beta 1.91x
Volatility (30d Ann.) 56.8% 📉

Advanced Micro Devices (AMD) Quarterly Earnings Performance Snapshot

Keeping an eye on a company’s quarterly earnings is like checking its report card. Let’s review AMD’s recent performance to understand its growth trajectory.

AMD’s recent quarterly performance shows strong operational execution. In its latest reported quarter (2025-Q3), the company posted revenue of 9.25 billion and a net income of 1.24 billion. These are robust figures for a company in the semiconductor space.

Looking at the growth rates, AMD saw a quarter-over-quarter revenue change of +20.3%, indicating healthy sequential momentum. Even more impressively, the year-over-year revenue growth stands at a solid +35.6%. This consistent growth highlights AMD’s ability to capture market share and capitalize on demand for its innovative products.

Advanced Micro Devices (AMD) Recent Quarterly Financial Results

Quarter Revenue Net Income EPS Gross Margin
2025-Q3 9.25 B 1.24 B 0.75x 51.7%
2025-Q2 7.68 B 872.00 M 0.54x 39.8%
2025-Q1 7.44 B 709.00 M 0.44x 50.2%
2024-Q4 7.66 B 482.00 M 0.29x 50.7%

AMD Quarterly Growth Metrics: Revenue & Net Income

Metric Value
QoQ Revenue Growth +20.3%
QoQ Net Income Growth +42.5%
YoY Revenue Growth +35.6%

Advanced Micro Devices (AMD) Short Selling Insights

Short selling activity can often provide a fascinating look into bearish sentiment surrounding a stock. Let’s analyze AMD’s short interest data.

Currently, there’s 41 million shares worth of short interest in AMD. The short ratio, often referred to as “days to cover,” stands at 0.7x. This means that at the stock’s recent average trading volume, it would take less than a day for all short positions to be covered. This relatively low level suggests that short sellers don’t currently exert significant control over the stock’s price, and the risk of a prolonged “short squeeze” (where shorts are forced to buy back, driving prices higher) is quite low.

With 2.51% of the public float sold short, we see a moderate percentage of the stock being targeted by bears. While this indicates some bearish sentiment, it’s far from an extreme level. It’s worth noting that this level has slightly increased from 39 million shares in the prior month, suggesting a subtle shift in bearish sentiment. However, because the overall short interest remains generally low, the market tends to feel more confident, and the risks of sharp price swings due to sudden short-covering activities are reduced.

Metric Value
Shares Short 41 M
Short Ratio (Days To Cover) 0.70x
Short % of Float 2.51%
Shares Short (Prior Month) 39 M
Short Date 2025-11-14

Advanced Micro Devices (AMD) Risk Analysis: Volatility & Drawdown Potential

Every investment comes with risks, and AMD is no exception. Understanding its risk profile is crucial for managing your portfolio effectively.

AMD’s risk profile reveals a stock with high volatility. Its annualized volatility stands at 49.2%, which definitely indicates a high level of investment risk. This means you should expect significant price fluctuations, both up and down, over time. The Sharpe ratio of 0.81x suggests mixed risk-adjusted returns; while it generates returns, they might not be fully compensating for the level of risk taken. Furthermore, a maximum drawdown of -65.45% highlights the potential for substantial losses during adverse market conditions.

To put this into perspective, the Value at Risk (VaR) at a 5% confidence level shows a potential loss of -4.36% in the worst 5% of scenarios over a given period. This gives you a statistical measure of potential downside. The Sortino ratio, which is 1.22x, is particularly useful as it focuses specifically on downside risk, offering additional insight into performance adjusted only for harmful volatility. Investors absolutely need to consider these risk metrics in conjunction with their own risk tolerance and investment objectives before making any decisions about AMD.

Metric Value
Volatility (Annualized) 49.2%
Value at Risk (5%) -4.36%
Value at Risk (1%) -8.25%
Sharpe Ratio 0.81x
Sortino Ratio 1.22x
Maximum Drawdown -65.45%
Skewness 1.76x
Kurtosis 28.22x

Advanced Micro Devices (AMD) Sentiment Analysis: News, Analysts & Options

Market sentiment is a powerful, albeit intangible, force that can influence stock prices. Let’s explore the current mood surrounding AMD.

Our current market sentiment analysis for AMD reveals a cautiously positive outlook, with a composite sentiment score of 0.28x and a confidence level of 57.5%. This overall positive sentiment is derived from a blend of multiple data sources, including recent news coverage, official analyst recommendations, and activity within the options market.

Breaking down these sentiment components, we see that news analysis reflects a Positive sentiment (0.27x), suggesting favorable media coverage. The analyst consensus also leans Positive (0.40x), indicating that professional analysts covering AMD are generally optimistic. Meanwhile, the options market sentiment appears Neutral (0.04x), which means options traders aren’t making strong directional bets one way or the other based on their positioning. These sentiment indicators should always be considered alongside a thorough fundamental and technical analysis to gain a comprehensive investment perspective. You can find more details on AMD’s market activity on MarketWatch.

Metric Value
Composite Sentiment Score 0.28x
Sentiment Classification Positive
Sentiment Confidence 57.5%
News Sentiment Positive (0.27x)
Analyst Sentiment Positive (0.40x)
Options Sentiment Neutral (0.04x)
Put/Call Ratio 0.48x

Advanced Micro Devices (AMD) Peer Comparison: How It Stacks Up

How does AMD truly perform when pitted against its closest competitors in the high-stakes semiconductor industry? Let’s compare it with NVIDIA (NVDA), Broadcom (AVGO), and Micron Technology (MU).

AMD, with its $354.15 billion market cap, holds a solid position, trailing giants like NVIDIA ($4.30 trillion) and Broadcom ($1.90 trillion) but comfortably ahead of Micron ($266.12 billion). When it comes to valuation, AMD’s P/E ratio of 113.89x is quite high, suggesting investors are baking in extremely aggressive future growth expectations. Broadcom (AVGO) also trades at premium multiples with a P/E of 103.06x, showing a similar market outlook for certain chipmakers.

In terms of growth, AMD’s robust 35.60% revenue expansion is impressive. However, NVIDIA (62.50%) demonstrates even stronger momentum, while Broadcom (16.40%) and Micron (46.00%) also show varied, but significant, growth. Profitability-wise, AMD’s 10.32% net margin indicates positive but more modest profitability compared to NVIDIA’s stellar 53.01% and Broadcom’s 31.59%. Micron also shows a healthy 22.84%.

Advanced Micro Devices’s Return on Equity (ROE) of 5.32% shows decent returns on equity, but it lags behind Broadcom’s 27.08% and Micron’s 17.20%. NVIDIA has a lower ROE at 1.07%. Looking at the balance sheet, AMD’s Debt-to-Equity ratio of 6.37x suggests a relatively strong financial position compared to Broadcom’s much higher 166x. NVIDIA (9.10x) and Micron (28.34x) also carry more debt relative to equity than AMD.

Finally, dividend policies vary significantly across these players. NVIDIA (2.00%) and Broadcom (59.00%) actively reward shareholders with payouts, while AMD, with a 0.00% dividend yield, clearly prioritizes reinvesting all cash back into growth initiatives. This comparison highlights AMD’s competitive strengths in growth and balance sheet health, even as it faces strong competition in profitability and market valuation.

Metric AMD NVDA AVGO MU
Market Cap $354.15B $4.30T $1.90T $266.12B
P/E Ratio 113.89 43.81 103.06 31.16
Revenue Growth 35.60% 62.50% 16.40% 46.00%
Net Margin 10.32% 53.01% 31.59% 22.84%
EPS 1.91 4.04 3.91 7.59
ROE 5.32% 1.07% 27.08% 17.20%
Debt-to-Equity 6.37 9.10 166 28.34
Dividend Yield 0.00% 2.00% 59.00% 19.00%
52-Week Range 76.48 – 267.08 86.61 – 212.19 137.54 – 403.00 61.44 – 260.58

Advanced Micro Devices (AMD) Insider Transactions: Recent Buying & Selling Activity

Insider transactions can be a powerful signal, as they show what those closest to the company are doing with their own money. Let’s look at AMD’s insider activity over the last three months.

The insider transaction data for AMD reveals a clear bearish trend over the past three months. We’ve seen 42 sells versus only 5 buys, totaling a net of $19.6 million in sales (including 5 transactions with estimated pricing). When we focus specifically on discretionary open-market activity, the picture becomes even clearer: 36 market sales compared to 0 market purchases. This strongly indicates that insiders are actively reducing their positions in the company.

Additionally, there were 10 option exercises, which can sometimes be a precursor to sales or a form of routine portfolio management. What’s particularly telling is the price analysis: sales occurred at elevated levels, averaging $210.22 across 36 priced transactions, while purchases averaged a much lower $34.19 across 5 transactions. This suggests that insiders are strategically taking profits at higher valuations.

The recent market transactions definitively lean toward selling, with insiders continuing to reduce their exposure in the near term. The sheer scale of discretionary market selling activity should give any investor pause. When the individuals with the best visibility into a company’s operations are reducing their holdings, it warrants a very careful evaluation of the near-term risk/reward dynamics for the stock. For official filings, you can always check the SEC Edgar database.

Insider Name Type Shares Changed Price Shares After Transaction Date Filing Date
Hu Jean X. SELL (Sale) [S] -426 $212.70 25,532 2025-11-24 2025-11-26
Hu Jean X. SELL (Sale) [S] -1,900 $211.97 25,958 2025-11-24 2025-11-26
Hu Jean X. SELL (Sale) [S] -3,273 $211.13 27,858 2025-11-24 2025-11-26
Hu Jean X. SELL (Sale) [S] -4,898 $210.06 31,131 2025-11-24 2025-11-26
Hu Jean X. SELL (Sale) [S] -1,415 $208.91 36,029 2025-11-24 2025-11-26
Hu Jean X. SELL (Sale) [S] -1,344 $207.34 37,444 2025-11-24 2025-11-26
Hu Jean X. SELL (Sale) [S] -1,250 $206.57 38,788 2025-11-24 2025-11-26
Norrod Forrest Eugene SELL (Exercise) [M] -8,200 ~$223.55 16,437 2025-11-19 2025-11-21
Norrod Forrest Eugene SELL (Sale) [S] -820 $230.78 300,348 2025-11-19 2025-11-21
Norrod Forrest Eugene SELL (Sale) [S] -5,142 $230.12 301,168 2025-11-19 2025-11-21
Norrod Forrest Eugene SELL (Sale) [S] -10,188 $229.21 306,310 2025-11-19 2025-11-21
Norrod Forrest Eugene SELL (Sale) [S] -3,300 $228.36 316,498 2025-11-19 2025-11-21
Norrod Forrest Eugene BUY (Exercise) [M] +8,200 $34.19 319,798 2025-11-19 2025-11-21
Papermaster Mark D SELL (Sale) [S] -1,007 $243.98 1,714,505 2025-11-14 2025-11-18
Papermaster Mark D SELL (Sale) [S] -1,600 $243.35 1,715,512 2025-11-14 2025-11-18
Papermaster Mark D SELL (Sale) [S] -2,100 $242.39 1,717,112 2025-11-14 2025-11-18
Papermaster Mark D SELL (Sale) [S] -1,848 $240.92 1,719,212 2025-11-14 2025-11-18
Papermaster Mark D SELL (Sale) [S] -5,277 $240.13 1,721,060 2025-11-14 2025-11-18
Papermaster Mark D SELL (Sale) [S] -1,700 $238.86 1,726,337 2025-11-14 2025-11-18
Papermaster Mark D SELL (Sale) [S] -600 $238.00 1,728,037 2025-11-14 2025-11-18
Papermaster Mark D SELL (Sale) [S] -1,100 $236.48 1,728,637 2025-11-14 2025-11-18
Papermaster Mark D SELL (Sale) [S] -1,876 $235.87 1,729,737 2025-11-14 2025-11-18
Papermaster Mark D BUY (Exercise) [M] +17,108 $34.19 1,731,613 2025-11-14 2025-11-18
Papermaster Mark D SELL (Exercise) [M] -16,800 ~$238.60 17,108 2025-10-15 2025-10-17
Papermaster Mark D SELL (Sale) [S] -200 $226.17 1,714,505 2025-10-15 2025-10-17
Papermaster Mark D SELL (Sale) [S] -5,516 $225.59 1,714,705 2025-10-15 2025-10-17
Papermaster Mark D SELL (Sale) [S] -5,695 $224.51 1,720,221 2025-10-15 2025-10-17
Papermaster Mark D SELL (Sale) [S] -1,700 $223.40 1,725,916 2025-10-15 2025-10-17
Papermaster Mark D SELL (Sale) [S] -2,665 $222.58 1,727,616 2025-10-15 2025-10-17
Papermaster Mark D SELL (Sale) [S] -1,024 $221.42 1,730,281 2025-10-15 2025-10-17
Papermaster Mark D BUY (Exercise) [M] +16,800 $34.19 1,731,305 2025-10-15 2025-10-17
Hahn Ava SELL (Sale) [S] -2,868 $226.01 9,033 2025-10-06 2025-10-08
Norrod Forrest Eugene SELL (Sale) [S] -2,250 $165.01 311,598 2025-09-24 2025-09-26
Papermaster Mark D SELL (Exercise) [M] -16,800 ~$161.16 33,908 2025-09-15 2025-09-17
Papermaster Mark D SELL (Sale) [S] -3,176 $159.70 1,714,505 2025-09-15 2025-09-17
Papermaster Mark D SELL (Sale) [S] -13,624 $159.08 1,717,681 2025-09-15 2025-09-17
Papermaster Mark D BUY (Exercise) [M] +16,800 $34.19 1,731,305 2025-09-15 2025-09-17
Norrod Forrest Eugene SELL (Exercise) [M] -8,200 ~$159.54* 24,637 2025-09-10 2025-09-12
Norrod Forrest Eugene SELL (Sale) [S] -1,123 $163.94 313,848 2025-09-10 2025-09-12
Norrod Forrest Eugene SELL (Sale) [S] -400 $162.68 314,971 2025-09-10 2025-09-12
Norrod Forrest Eugene SELL (Sale) [S] -3,834 $161.85 315,371 2025-09-10 2025-09-12
Norrod Forrest Eugene SELL (Sale) [S] -3,652 $160.85 319,205 2025-09-10 2025-09-12
Norrod Forrest Eugene SELL (Sale) [S] -8,191 $160.04 322,857 2025-09-10 2025-09-12
Norrod Forrest Eugene BUY (Exercise) [M] +8,200 $34.19 331,048 2025-09-10 2025-09-12
Hahn Ava SELL (Sale) [S] -143 $158.10 11,901 2025-09-02 2025-09-04

Advanced Micro Devices (AMD) Key Risk Factors for Investors

No investment is without its risks. For AMD, several factors could impact its performance. It’s essential to be aware of these before making any investment decisions.

Investing in AMD involves various risks that potential shareholders should carefully consider. This section outlines some key factors identified through recent data analysis and broader market considerations, though it’s important to remember this list is not exhaustive:

  • ⚠️ Short-Term Weakness: The current price of $217.53 is trading below its 50-day Simple Moving Average (SMA) of $235.43. This indicates potential short-term weakness, suggesting the stock could face further downward pressure in the immediate future.
  • ⚠️ High Financial Leverage: AMD carries a high Debt-to-Equity ratio of 6.37x. While debt can fuel growth, a high leverage ratio signifies significant financial risk, especially if interest rates rise or the company faces unexpected operational challenges.
  • ⚠️ General Market Fluctuations: Like all stocks in the Technology sector, AMD is highly susceptible to broader market fluctuations and economic conditions. A general market downturn or sector-specific headwinds could disproportionately impact its stock price, regardless of company-specific performance.

These risks highlight the importance of thorough due diligence and understanding your own risk tolerance when considering an investment in Advanced Micro Devices.

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Advanced Micro Devices (AMD) Analyst Insights & Consensus: Price Targets

What are Wall Street’s experts saying about AMD? Analyst consensus can offer a valuable snapshot of professional sentiment and future price expectations.

This section summarizes the collective view of professional analysts who cover AMD. The overarching consensus recommendation is a clear ‘Buy’. This strong recommendation is based on the opinions of 43 analysts, which is a significant number, indicating broad coverage and confidence in the company.

The mean price target from these analysts is $283.57, with individual targets ranging widely from a low of $178.00 to a high of $380.00. This range shows some divergence in opinion but a general bullish outlook. The average target of $283.57 suggests a potential upside of approximately 30.4% compared to the current price of $217.53. This provides a solid gauge of Wall Street’s sentiment regarding AMD’s potential over the next year.

Metric Value
Recommendation Buy
Mean Target Price $283.57
High Target Price $380.00
Low Target Price $178.00
Number of Analyst Opinions 43

Advanced Micro Devices (AMD) Latest News & Market Developments

Staying current with the news is paramount in the fast-moving tech sector. Here’s a summary of recent headlines related to AMD, offering insights into current events and market sentiment from late November to early December 2025.

  • Nvidia Stock Slips Again. What’s Hitting the Chip Maker.
    Publisher: Barrons.com | Published: 2025-12-01T11:22:00Z
    This article suggests broader market pressures or specific concerns affecting even top-tier chip manufacturers like Nvidia, which could have ripple effects on AMD.
  • Advanced Micro Devices’ (AMD) Competitive Position Versus Nvidia Underpins Raymond James’ Confidence
    Publisher: Insider Monkey | Published: 2025-12-01T10:28:51Z
    This piece highlights an analyst’s confidence in AMD’s ability to compete with Nvidia, a critical factor for investor sentiment in the high-growth AI and data center segments.
  • What Is One of the Best Semiconductor Stocks to Hold for the Next 10 Years? (Spoiler: It’s an ETF With Average Annual Gains Exceeding 20%)
    Publisher: Motley Fool | Published: 2025-12-01T10:05:00Z
    While focusing on ETFs, this article underscores the long-term bullish outlook for the semiconductor sector as a whole, which bodes well for AMD.
  • Could the Next Trillion-Dollar AI Opportunity Be in Cybersecurity and Not Semiconductors?
    Publisher: Motley Fool | Published: 2025-12-01T02:00:00Z
    This provocative question challenges the prevailing narrative, prompting investors to consider diversification within the AI investment landscape, potentially impacting sentiment around pure-play semiconductor firms.
  • AMD plans frustrating GPU chip change
    Publisher: TheStreet | Published: 2025-11-30T22:03:00Z
    This headline suggests a specific product or strategy change that might cause investor frustration, an important detail to monitor for its potential impact on sales or market perception.

Conclusion and Investment Outlook for Advanced Micro Devices (AMD)

Alright, we’ve covered a lot of ground today on Advanced Micro Devices (AMD). Let’s bring it all together to form a cohesive investment outlook.

Short-Term Technical Snapshot

  • Overall Technical Sentiment: Neutral. The stock is currently navigating a mixed trend.
  • Price Trend vs. Moving Averages: It’s a bit of a mixed bag, with the price below the 50-day SMA but comfortably above the 200-day SMA.
  • Momentum (RSI): Neutral at 30.4, indicating balanced forces in the market.
  • Support / Resistance (30d): Key levels to watch are approximately $194.28 for support and $263.88 for resistance.

Longer-Term Fundamental & Forecast Outlook

  • 1-Year Average Forecast: The model suggests a potential average change of -42.3%, targeting around $125.46. This is a significant point of caution.
  • Fundamental Health: Our assessment shows moderate health. While ROE is 5.32%, the Debt/Equity ratio of 6.37x is a factor to monitor.
  • Valuation Snapshot: It appears elevated, with a Forward P/E of 42.65x, suggesting high growth expectations are already priced in.
  • Recent Growth (YoY): This is a strong positive, with revenue up 35.60% and earnings up 60.30%. AMD is definitely growing!
  • Analyst Consensus: Despite some model-based caution, Wall Street analysts maintain a ‘Buy’ rating with a target of $283.57.

Overall Assessment & Outlook

In summary, AMD presents a compelling but complex picture. Technically, the short-term sentiment is neutral, indicating a period of consolidation or slight pullback within a longer-term bullish trend. Fundamentally, the company demonstrates strong growth and healthy cash flow but also carries a notable debt load and trades at a premium valuation. The model-based 1-year forecast suggests potential downside, which directly contrasts with the more optimistic analyst consensus.

For investors, decision-making should carefully weigh these diverse elements against the potential risks outlined earlier, such as high volatility and financial leverage, and align them with your own strategic goals and risk tolerance. Advanced Micro Devices remains a key player in a high-growth industry, but its path forward will require careful navigation of these mixed signals.

Reminder: This assessment is based on model data and publicly available information, intended solely for informational purposes. It is not investment advice. Market conditions change rapidly. Always conduct thorough independent research and consult a qualified financial advisor before making any investment decisions.

Frequently Asked Questions About Advanced Micro Devices (AMD) Stock

What is the AMD stock price prediction for the next year (2025-2026)?

Based on current models, the average 1-year price forecast for AMD is approximately $125.46. This represents a potential -42.3% change from the recent price of $217.53. It’s crucial to remember that this is a model-driven estimate and not a guarantee; actual prices will fluctuate significantly based on numerous market and company-specific factors.

Will AMD stock go up or down?

The 1-year forecast model suggests the price might experience sharp losses on average (-42.3% potential). However, the short-term direction is highly uncertain and heavily influenced by prevailing market sentiment (currently ‘Neutral’), breaking news, and overall economic conditions. Technical indicators, as detailed in our analysis, provide clues for near-term direction, but the broader trend depends on a multitude of evolving factors.

Is AMD stock a good investment right now?

Whether AMD is a “good buy” right now involves balancing various elements. Technically, the RSI indicates neutral conditions (RSI: 30.4), suggesting balanced momentum. However, a model-based forecast points to a significant potential downside (-42.3%). You must weigh the company’s premium valuation, its financial stability, strong growth metrics, and the 3 potentially significant risk factors specific to AMD that were identified in our report (see Risk Factors section).

Always align these considerations with your own investment goals and risk profile. This report is informational; consulting a financial advisor before investing is highly recommended.

How volatile is AMD stock?

Based on the recent 30-day price action, AMD’s annualized volatility is approximately 56.8%. This level is currently considered high, indicating a significant degree of recent price fluctuation. This aligns with its Beta of 1.91x (see Stock Price Statistics section), meaning it tends to move much more sharply than the broader market. Higher volatility means larger potential price swings, both upwards and downwards.

What is AMD’s P/E ratio and what does it mean?

AMD’s Trailing P/E ratio (based on past earnings) is 113.89x, which is considered relatively high and often implies that the market expects strong future growth or that the stock could be overvalued. The Forward P/E (based on expected earnings) is 42.65x. A P/E ratio essentially indicates how much investors are willing to pay for every dollar of the company’s earnings. It’s important to compare these ratios to industry peers and historical levels. A high P/E isn’t necessarily bad if strong, sustainable growth justifies it.

What are the key upcoming events for AMD?

Key upcoming historical events include the ex-dividend date on 1995-04-27, though this is a historical date and not relevant for current dividend income. Beyond such historical dates, investors should closely monitor macroeconomic shifts, any competitive actions from rivals like NVIDIA, and major corporate announcements that AMD might release, particularly regarding new product launches or earnings reports.

What does AMD’s liquidity position reveal about its financial health?

AMD’s financial health is bolstered by a strong Current Ratio of 2.31x, suggesting it can comfortably cover its short-term liabilities. Even more importantly, its robust operating cash flow of 6.41 billion and levered free cash flow of 3.25 billion provide a significant financial buffer. These are critical factors demonstrating its ability to fund operations, manage debt, and invest in future growth.

 

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