Screener › Semiconductor Stocks Comparison

Semiconductor Stocks Comparison

🏭 By Sector 22 stocks Updated: 22 May 2026 🌐 DE

All semiconductor and chip stocks in our database — from foundries and chip designers to equipment makers, the backbone of the AI revolution and modern electronics.

Results: 22
Total Mkt Cap: $11.8T
Avg Price: $236.36
Sorted by: Mkt Cap ↓
Ticker Company Price Mkt Cap P/E Rev. Growth Upside
NVDA NVIDIA $215.30 -1.92% $5.21T 33x 85.2% 29.1%
TSM TSMC $404.22 -0.72% $2.1T 34.9x 35.1% 15.7%
AVGO Broadcom $414.06 -0.12% $1.96T 80.6x 29.5% 16%
AMD AMD $467.41 +3.96% $762.16B 155.3x 37.8% 1%
ASML ASML $1,632.25 +2.53% $629.1B 54.3x 13.2% 1.6%
INTC Intel $119.80 +1.1% $602.11B 7.2% -26.7%
ARM ARM Holdings $306.51 +2.78% $326.13B 356.4x 20.1% -24.3%
IFX.DE Infineon $73.42 +7.97% $95.41B 89.5x 0% -10.1%
NOD.OL Nordic Semiconductor $207.60 +3.7% $40.99B 175.9x 24.1% -7.8%
BESI.AS BE Semiconductor Industries $273.60 +1.18% $21.67B 142.5x 28.3% -8.5%
RMBS Rambus $142.98 +0.82% $15.46B 68.1x 8.1% 1.6%
FORM FormFactor $128.99 +0.77% $10.06B 148.3x 32% 12.2%
NVTS Navitas Semiconductor $29.25 +19.98% $6.84B -38.7% -53.6%
SOI.PA Soitec $177.35 +6.45% $6.33B 633.4x -31.7% -49%
KLIC Kulicke and Soffa $104.40 +3.27% $5.46B 101.4x 49.8% -4.2%
AMBA Ambarella $87.55 +4.67% $3.84B 20.1% 0.4%
ELG.DE Elmos Semiconductor $188.40 +3.74% $3.25B 26.1x 20.2% -4.5%
MELE.BR Melexis $81.45 +6.12% $3.21B 29.7x 1.9% -15.1%
WAF.DE Siltronic $93.35 +2.36% $2.8B 3.1% -25.1%
CEVA CEVA Inc $39.43 +2.58% $1.1B 11.5% 7.5%
XFAB.PA X-FAB Silicon Foundries $7.89 +5.06% $1.03B 60.7x -4.2% -32.7%
INDI Indie Semiconductor $4.81 +15.07% $1.02B 2.6% 27%

Analysis and Context

This sector screener currently shows 22 stocks from the selected industry segment — updated daily. The average P/E ratio is 103.8x. The average revenue growth rate is 16.1%. Sectors move through cyclical phases strongly correlated with macro factors — interest rates, GDP growth, commodity prices, and regulatory environment all drive sector dynamics. The average net margin across these companies is 10.2%. Compare metrics against the sector average to identify relative over- and undervaluations. Sector concentration increases portfolio risk — maintain adequate diversification across industries and business models.

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