MEDIUM confidence: 100% data completeness, but the composite (58) sits in the indecisive 30–70 range — strong-buy and short calls require a more decisive composite. What does confidence mean?
Technical context for active traders — derived from price, the 50/200-day moving averages, the 52-week range, and recent volume. Not part of the QScore.
Fama-French 5-factor (2×3) + Momentum, monthly OLS with Newey-West errors. Bars show signed factor betas; faded bars/figures aren't statistically significant.
Net buyback (repurchases less issuance) ÷ market cap, plus trailing dividend yield.
Avg target $349 (last qtr, 3 analysts) → $380 (last mo, 1) (+8.9%).
Buy-rated share 75% → 75% over ~3 months (+0pp).
| Quarter | Est. | Actual | Surprise |
|---|---|---|---|
| Apr 2026 | $2.63 | $2.65 | +0.8% |
| Jan 2026 | $2.48 | $2.51 | +1.2% |
| Oct 2025 | $2.48 | $2.63 | +6.0% |
| Aug 2025 | $2.63 | $2.80 | +6.5% |
| May 2025 | $2.40 | $2.57 | +7.1% |
| Jan 2025 | $2.22 | $2.39 | +7.7% |
| Oct 2024 | $2.25 | $2.36 | +4.9% |
| Aug 2024 | $2.51 | $2.64 | +5.2% |
| Metric (USD) | FY2021 | FY2022 | FY2023 | FY2024 | FY2025 |
|---|---|---|---|---|---|
| Revenue | $3.2B— | $3.8B+17.8% | $4.4B+15.8% | $4.5B+1.5% | $4.6B+1.9% |
| EPS (dil.) | $3.68— | $6.58+78.8% | $8.84+34.3% | $9.83+11.2% | $10.12+3.0% |
| Free Cash Flow | $226M— | $169M-25.0% | $317M+87.4% | $347M+9.1% | $465M+34.2% |
| Gross Margin | 28.9% | 29.0%+0.1pp | 29.2%+0.1pp | 29.8%+0.7pp | 30.3%+0.5pp |
| Operating Margin | 6.3% | 9.4%+3.0pp | 10.7%+1.3pp | 11.1%+0.3pp | 10.9%-0.1pp |
| Net Margin | 4.5% | 6.8%+2.3pp | 7.9%+1.1pp | 8.6%+0.8pp | 8.6%-0.0pp |
Absolute figures with year-over-year change. Margins show the level with the change in percentage points (pp). “n/m” = not meaningful (prior ≤ 0); ⚠ marks a large percentage off a small base — read the dollar figure.
Net insider -$14.5M over 180 days (0 open-market buys, 12 sells). Insider buying is the informative signal; routine selling is normal.
Short interest, days-to-cover, and institutional-ownership change require a data-plan upgrade (not yet available).
Forward-return IC, quintile spread & hit rate publish on /performance as the tracking panel accrues enough no-look-ahead history.
The QScore of 58 for AIT indicates a moderately attractive stock, with the short-term score of 61 being slightly higher than the long-term score of 56. AIT scores high on momentum, with a 12-month return of 50.1% and a bullish 50-day versus 200-day moving average. The stock's value category is a relative weakness, as it trades at a premium with a P/E of 31.4, while its risk profile is a strength, driven by a beta of 0.9 and relatively low volatility.