Dashboard
With a fall in PBT of -33.98%, the company declared Very Negative results in Mar 25
- INTEREST(HY) At USD 200 MM has Grown at 47.06%
- INTEREST COVERAGE RATIO(Q) Lowest at 777.42
- DEBTORS TURNOVER RATIO(HY) Lowest at 4.98%
With ROCE of 14.49%, it has a very expensive valuation with a 1.40 Enterprise value to Capital Employed
Stock DNA
Auto Components & Equipments
USD 18,328 Million (Mid Cap)
7.00
NA
0.00%
0.77
24.20%
2.05
Total Returns (Price + Dividend) 
Aptiv Plc for the last several years.
Risk Adjusted Returns v/s 
News
Is Aptiv Plc technically bullish or bearish?
As of 12 August 2025, the technical trend for Aptiv Plc has changed from mildly bullish to bullish. The weekly MACD is bullish, and the Bollinger Bands indicate a bullish stance for both weekly and monthly periods. Daily moving averages also confirm a bullish trend. However, the weekly KST is bullish while the monthly KST is only mildly bullish, and the Dow Theory shows a mildly bullish stance on both weekly and monthly time frames. The stock has outperformed the S&P 500 in the past week (1.97% vs. 1.05%) and month (12.76% vs. 2.33%), but has underperformed over longer periods, particularly in the 3-year and 5-year comparisons. Overall, the current technical stance is bullish with strong indicators supporting this view....
Read MoreIs Aptiv Plc overvalued or undervalued?
As of 12 August 2025, Aptiv Plc's valuation grade has moved from fair to expensive, indicating a shift towards overvaluation. The company appears overvalued based on its P/E ratio of 7, which is below the industry average, and an EV to EBITDA ratio of 6.78, suggesting that the market may be pricing it too high relative to its earnings potential. Additionally, the Price to Book Value stands at 1.71, further supporting the notion of overvaluation when compared to its peers. In comparison to its peers, Aptiv's P/E ratio of 8.45 is higher than its own, yet it still falls short of the industry average, indicating potential pricing discrepancies. Notably, while Aptiv has outperformed the S&P 500 in the short term with a 1-month return of 12.76% versus 2.33%, its long-term performance has lagged significantly, with a 5-year return of -4.02% compared to the S&P's 96.61%. This divergence suggests that despite recen...
Read More Announcements 
Corporate Actions 
Quality key factors 
Valuation key factors
Technicals key factors
Shareholding Snapshot : Mar 2025
Shareholding Compare (%holding) 
Domestic Funds
Held in 151 Schemes (50.8%)
Held by 403 Foreign Institutions (38.61%)
Quarterly Results Snapshot (Consolidated) - Mar'25 - QoQ
QoQ Growth in quarter ended Mar 2025 is -1.67% vs 1.09% in Dec 2024
QoQ Growth in quarter ended Mar 2025 is -104.00% vs -25.27% in Dec 2024
Annual Results Snapshot (Consolidated) - Dec'24
YoY Growth in year ended Dec 2024 is -1.69% vs 14.65% in Dec 2023
YoY Growth in year ended Dec 2024 is -38.98% vs 402.71% in Dec 2023






