NETGEAR, INC. (NTGR)

23.38 0 (0%)

As of 2026-04-02 15:10:04 EST

Netgear, Inc. (stylized as NETGEAR in all caps), is an American computer networking company based in San Jose, California, with offices in about 22 other countries. It produces networking hardware for consumers, businesses, and service providers. The company operates in three business segments: retail, commercial, and as a service provider.

Traded asNasdaq: NTGR
ISINUS64111Q1040
CIK0001122904
LEI54930067KX3UNRHDWA78
EIN770419172
SectorNetworking equipment
IndustryTelephone & Telegraph Apparatus
CEOCharles Prober
Employees655
Fiscal Year End1231
Address3553 N. FIRST STREET, SAN JOSE, CA, 95134
Phone4089078000
Websitehttp://netgear.com
Stock Quotes
trading_symbolregistrant_nametimepricechangepercentage_change
NTGRNETGEAR, INC.2026-04-02 15:10:0423.3800
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Company Information
trading_symbolcentral_index_keyregistrant_nameisin_numberlei_numberein_numberexchangesic_codesic_descriptionfiscal_year_endstate_of_incorporationaddress_streetaddress_cityaddress_stateaddress_zip_codeaddress_countryaddress_country_codephone_numbermailing_addressbusiness_addressformer_nameindustryfounding_datechief_executive_officernumber_of_employeeswebsitemarket_capshares_issuedshares_outstandingdescriptionupdate_time
NTGR0001122904NETGEAR, INC.US64111Q104054930067KX3UNRHDWA78770419172Nasdaq3661Telephone & Telegraph Apparatus1231DE3553 N. FIRST STREETSAN JOSECA95134UNITED STATESUS40890780003553 N. FIRST STREET, SAN JOSE, CA, 951343553 N. FIRST STREET, SAN JOSE, CA, 95134NETGEAR, INCNetworking equipment1996-01-08Charles Prober655http://netgear.com807,600,00027,943,19828,113,151Netgear, Inc. (stylized as NETGEAR in all caps), is an American computer networking company based in San Jose, California, with offices in about 22 other countries. It produces networking hardware for consumers, businesses, and service providers. The company operates in three business segments: retail, commercial, and as a service provider.2026-04-02 17:46:27
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NTGR Stock Price (End-of-Day)
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NTGR Stock Price (1-Minute)
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Market Cap
Fiscal YearMarket CapChange In Market CapPercentage Change In Market CapShares OutstandingChange In Shares OutstandingPercentage Change In Shares Outstanding
2025807,600,000375,300,00086.814728,113,151-755,789-2.618
2024432,300,00029,000,0007.190728,868,940-792,411-2.6715
2023403,300,000-122,100,000-23.239429,661,351749,1522.5911
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Executive Compensation
Executive NameExecutive PositionFiscal YearSalaryBonusStock AwardsIncentive Plan CompensationOther CompensationTotal Compensation
Pramod BadjatePresident2024236,250175,3595,064,95003,0005,479,559
Michael F. FalconChief Operations Officer2024518,99265,000639,10075,6573,0001,301,749
Patrick C.S. LoChairman, Chief Executive Officer202484,0380960,12301,420,0222,464,183
Bryan D. MurrayChief Financial Officer2024531,57401,358,08899,1563,0001,991,818
David J. HenryPresident2024548,1990798,87574,448580,8672,002,389
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Employee Count
Fiscal YearEmployee Count
2025784
2024655
2023635
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Income Statements
Fiscal Year202520242023
Revenue699,621,000673,759,000740,840,000
Cost Of Revenue433,430,000477,832,000491,588,000
Gross Profit266,191,000195,927,000249,252,000
Research And Development Expenses85,721,00081,082,00083,295,000
General And Administrative Expenses78,916,00063,468,00066,243,000
Operating Expenses300,343,000183,711,000282,527,000
Operating Income-34,152,00012,216,000-33,275,000
Net Income-17,923,00012,363,000-104,767,000
Earnings Per Share Basic-0.630.43-3.57
Earnings Per Share Diluted-0.630.42-3.57
Weighted Average Shares Outstanding Basic28,607,00028,905,00029,355,000
Weighted Average Shares Outstanding Diluted28,607,00029,683,00029,355,000
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Balance Sheet Statements
Fiscal Year202520242023
Cash And Cash Equivalents209,904,000286,444,000176,717,000
Marketable Securities Current113,132,000122,246,000106,931,000
Accounts Receivable142,045,000156,210,000185,059,000
Inventories176,456,000162,539,000248,851,000
Non Trade Receivables
Other Assets Current
Total Assets Current673,282,000758,029,000747,979,000
Marketable Securities Non Current8,732,0008,381,0008,367,000
Property Plant And Equipment26,001,00011,288,0008,273,000
Other Assets Non Current16,771,00016,587,00017,326,000
Total Assets Non Current62,716,00039,335,00045,558,000
Total Assets836,271,000850,230,000847,142,000
Accounts Payable43,749,00058,481,00046,850,000
Deferred Revenue26,904,00030,261,00027,091,000
Short Term Debt
Other Liabilities Current144,028,000148,078,000168,084,000
Total Liabilities Current250,221,000270,083,000264,348,000
Long Term Debt
Other Liabilities Non Current40,035,00011,702,0004,906,000
Total Liabilities Non Current88,227,00039,081,00047,299,000
Total Liabilities338,448,000309,164,000311,647,000
Common Stock28,00029,00030,000
Retained Earnings-538,946,000-457,116,000-432,322,000
Accumulated Other Comprehensive Income196,000241,000136,000
Total Shareholders Equity497,823,000541,066,000535,495,000
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Cash Flow Statements
Fiscal Year202520242023
Depreciation And Amortization7,996,0006,514,0007,161,000
Share Based Compensation Expense29,715,00022,678,00017,938,000
Other Non Cash Income Expense186,000
Change In Accounts Receivable-14,165,000-28,849,000-92,425,000
Change In Inventories17,407,000-80,248,000-47,595,000
Change In Non Trade Receivables
Change In Other Assets
Change In Accounts Payable-14,879,00011,486,000-38,947,000
Change In Other Liabilities
Cash From Operating Activities1,606,000164,797,00056,853,000
Purchases Of Marketable Securities109,768,000137,228,000135,920,000
Sales Of Marketable Securities
Acquisition Of Property Plant And Equipment20,515,0008,994,0005,799,000
Acquisition Of Business12,193,000
Other Investing Activities
Cash From Investing Activities-22,641,000-26,157,000-27,433,000
Tax Withholding For Share Based Compensation13,761,0003,409,0002,793,000
Payments Of Dividends
Issuance Of Common Stock3,652,0003,565,0003,590,000
Repurchase Of Common Stock50,662,000500,0000
Issuance Of Long Term Debt
Repayment Of Long Term Debt
Other Financing Activities
Cash From Financing Activities-55,505,000-28,913,000797,000
Change In Cash-76,540,000109,727,00030,217,000
Cash At End Of Period209,904,000286,444,000176,717,000
Income Taxes Paid13,772,0007,738,0007,194,000
Interest Paid11,586,00012,152,0006,842,000
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Key Metrics
Fiscal Year202520242023
Earnings Per Share-0.630.43-3.57
Price To Earnings Ratio-38.936564.814-4.084
Earnings Growth Rate-246.5116-112.044850
Price Earnings To Growth Ratio0.1579-0.5785-0.0817
Book Value Per Share17.402118.718818.242
Price To Book Ratio1.40961.48890.7993
Ebitda15,431,00038,767,000-83,570,000
Enterprise Value
Dividend Yield
Dividend Payout Ratio
Debt To Equity Ratio
Capital Expenditures22,709,0009,529,0006,209,000
Free Cash Flow-21,103,000155,268,00050,644,000
Return On Equity-0.0360.0228-0.1956
One Year Beta1.49190.87630.6657
Three Year Beta1.15230.94740.927
Five Year Beta1.06790.88910.8921
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Insider Transactions
Insider NameRelationship To IssuerTransaction DateAmount Of SecuritiesAcquired Or DisposedSecurities Owned Following Transaction
Badjate PramodPresident & GM, NFB2026-02-023,000D144,586
Badjate PramodPresident & GM, NFB2026-01-317,775D147,586
Murray BryanChief Financial Officer2026-01-312,985D203,779
Prober Charles J.Director, Chief Executive Officer2026-01-31157,714A767,750
Prober Charles J.Director, Chief Executive Officer2026-01-3185,087D682,663
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Institutional Holdings
Investor NamePeriod Of ReportMarket ValueAmount Of SecuritiesPrice Per Security
GOLDMAN SACHS GROUP INC2025-12-314,704,388191,78124.53
HSBC HOLDINGS PLC2025-12-31740,84030,03024.67
Rockefeller Capital Management L.P.2025-12-3110,98944824.529
TD Capital Management LLC2025-12-311,6196624.5303
Invesco Ltd.2025-12-312,221,04490,54424.53
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Mutual Fund Holdings
Registrant NamePeriod Of ReportFund NameFund SymbolAmount Of UnitsValue In UsdPercentage Value Compared To Assets
Global X Funds2026-01-31Global X Russell 2000 ETFRSSL12,385258,970.350.0187
INVESCO EXCHANGE-TRADED FUND TRUST2026-01-31Invesco RAFI US 1500 Small-Mid ETFPRFZ66,3901,388,214.90.0519
Cambria ETF Trust2026-01-31Cambria Value and Momentum ETFVAMO28,842603,086.220.7909
ProFunds2026-01-31SMALL-CAP PROFUND SERVICE CLASSSLPSX29606.390.0081
ProFunds2026-01-31SMALL-CAP PROFUND INVESTOR CLASSSLPIX29606.390.0081
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