176.45 - 178.59
86.62 - 184.48
124.91M / 173.95M (Avg.)
50.81 | 3.50
These metrics indicate whether the stock trades cheaply or expensively relative to its fundamentals. Value investors use them to find mispricings—buying stocks that appear undervalued, with solid long-term prospects and limited downside risk.
26.87
P/E above 1.5x TSM's 16.05. Jim Chanos would check for potential multiple compression risks.
8.77
P/S less than half of TSM's 20.73. Joel Greenblatt would verify if margins support this discount.
1.74
P/B 50-75% of TSM's 3.42. Bruce Berkowitz would examine if asset composition explains the gap.
76.11
Positive FCF while TSM shows negative FCF. John Neff would investigate cash generation advantage.
47.66
P/OCF 1.25-1.5x TSM's 32.39. Martin Whitman would scrutinize if premium reflects better business model.
1.74
Fair value ratio 50-75% of TSM's 3.42. Bruce Berkowitz would examine if business quality explains the gap.
0.93%
Earnings yield 50-75% of TSM's 1.56%. Martin Whitman would scrutinize if lower yield reflects better quality.
1.31%
Positive FCF while TSM shows negative FCF. John Neff would investigate cash generation advantage.