Technology / Software - Application

Intuit Inc. (INTU)

$322.14
-8.94%
$90.7B
Market Cap
20.2
P/E Ratio
1.03
Beta
1.45%
Dividend Yield
Piotroski 9/9Altman Z 5.2 SafeBeneish M -2.26 CleanROIC−WACC +3.3%

Quantitative Summary

Deterministic

At 20.2x earnings — a 69% discount to the sector average of 65.0x — INTU is in the lower valuation range. Financial health metrics are strong: Piotroski 9/9, Altman Z 5.2 (above 3.0 safe zone threshold). DCF fair value of $481 implies 30% upside from current prices based on model assumptions.

Generated deterministically from quant metrics and financial statements. Not a recommendation.

Algorithmic Teardown

AI-Generated

Intuit demonstrates robust fundamental quality characterized by a 15.6% revenue growth rate and exceptional profitability, evidenced by a net margin of 20.5% supported by high asset turnover relative to its equity multiplier. The DuPont decomposition reveals that the 19.6% ROE is primarily driven by operational efficiency rather than leverage, while creditworthiness metrics are pristine with a Piotroski F-Score of 9/9 and an Altman Z-Score of 6.2 indicating low bankruptcy risk. However, the Beneish M-Score of -2.26 suggests earnings lack manipulation concerns despite strong financials, yet the negative profitability factor delta (-0.203) signals a potential divergence between current operational performance and broader market expectations for high-margin growth stocks.

Valuation metrics present a mixed picture where the 27.5x P/E trades at a significant discount to the sector average of 42.2x, suggesting the market may be pricing in slower future expansion than historical trends warrant. A DCF analysis implies fair value at $452 with only 4.7% upside against current levels, which aligns with an assumed long-term free cash flow growth rate of 11.8%. This narrow valuation gap indicates that while the stock appears undervalued relative to peers on a multiple basis, the absolute price already incorporates optimistic assumptions regarding future earnings acceleration and risk-free rate sensitivities inherent in the discounting process.

Risk-adjusted performance data reveals notable headwinds despite strong fundamentals; the Fama-French alpha of -52.35% annually highlights significant underperformance relative to size and value benchmarks over the measured period. Compounding this, the negative Value Factor (-0.381) and Profitability Factor (-0.203) deltas suggest the stock's recent price action has lagged behind its fundamental attributes compared to other growth or high-profitability names in the index. Furthermore, insider activity shows $79.25 million in net selling over 90 days, a flow that contrasts with the company's strong balance sheet and could reflect portfolio rebalancing by executives who may perceive current valuations as fully reflecting future risks not yet captured in analyst models.

Generated by LLM from quantitative data inputs. May contain inaccuracies. Not investment advice.

DCF Sandbox

Interactive
Market Price
$322.14
Fair Value
$484
Implied Upside
+50.1%
$484IMPLIED FAIR VALUEUNDERVALUEDOVERUNDER
Growth Rate (Y1–5)20%
-10%20%50%
Discount Rate (WACC)11.8%
5%12.5%20%

5-year two-stage DCF. Terminal growth 3%. Default sliders match the pre-computed base case. Drag to explore scenarios. Not investment advice.

Reverse DCFMarket-Implied
8.7%annual FCF growth priced in at $322.14

The growth rate the market implicitly expects over the next 10 years to justify today's price. Compare with historical growth of 16% YoY revenue.

Sensitivity Matrix

TG ↓ / WACC →9.8%11.8%13.8%
2%$568$441$358
3%$638$481$383
4%$731$531$413

Center = base case. Green = >10% upside, Red = >10% downside vs $322.14.

Pre-computed DCF: WACC=11.8%, terminal growth 3%. Fair value $481 (+30.1%). Not investment advice.

Valuation Context

20.2x
INTU P/E
65.0x
Sector Avg
34.7x
5Y Avg P/E
-69%
vs Sector

Currently trading 34% below its 5-year average P/E of 34.7x.

Price Chart with Moving Averages

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SMA 50 SMA 200

Technical Setup

AI Generated

Intuit Inc. is currently trading at $319.94, presenting a specific snapshot within its broader technical architecture without immediate context from surrounding moving average envelopes or volatility bands that would typically define mean-reversion zones. In the absence of explicit upper and lower boundary data relative to this price point, the precise distance between current valuation and statistical averages remains undefined in this isolated view. Consequently, determining whether the stock is exhibiting a stretched condition conducive to potential pullbacks or an oversold state hinting at possible rebounds requires additional metrics regarding standard deviation ranges or historical mean reversion thresholds that are not provided here. The positioning of $319.94 within its sector-specific technology landscape offers limited insight into relative value without comparative data on long-term trend lines or immediate support levels derived from recent price action clustering. While the current figure stands as a factual observation, interpreting it as an entry point for mean reversion strategies would be speculative absent knowledge of where the primary moving averages are situated and how far this price deviates from them statistically. The technical setup described by these isolated parameters does not inherently signal proximity to equilibrium or extreme dispersion that usually triggers such directional hypotheses in quantitative analysis frameworks relying on envelope breaches.

RSI (14)
SMA 50
SMA 200

Quant Health Deep Dive

9/9
Piotroski F-Score
Strong — high operational efficiency and profitability signals
5.2
Altman Z-Score
Safe Zone — above 3.0 threshold per academic model. Thresholds: >3 safe, 1.8–3 grey, <1.8 distress.
-2.26
Beneish M-Score
Below threshold — no statistical earnings quality concern per Beneish model. Threshold: <-2.22 = below threshold.

Profitability & Value Creation

79.6%
Gross Margin
20.5%
Net Margin
15.1%
ROIC
11.8%
WACC
ROIC − WACC Spread: +3.3%— Positive spread.
+15.6%
Revenue Growth (YoY)
+30.6%
Earnings Growth (YoY)
6.1B
Free Cash Flow
20%
FCF Payout Ratio

✅ Conservative payout — room for dividend increases.

DuPont Analysis — ROE Decomposition

Breaking down Return on Equity to see how the company generates its ROE — efficiency, margins, or leverage.

20.5%
Net Profit Margin
NI ÷ Revenue
×
0.51x
Asset Turnover
Revenue ÷ Assets
×
1.88x
Equity Multiplier
Assets ÷ Equity
=
19.6%
Return on Equity
✅ ROE driven primarily by strong profit margins — a sign of pricing power.

Balance Sheet Health

0.88x
Debt / Equity
1.36x
Current Ratio
20.6x
Interest Coverage
0.5x
Net Debt / EBITDA
6.04%
FCF Yield
5.9B
EBITDA

Insider Activity (Last 90 Days)

Net Insider Flow
-$79M
Net Selling
0
Buy Transactions
5
Sale Transactions
2026-03-12DALZELL RICHARD LSold 3/6 qtrsSale$457,046
2026-01-22MAWAKANA TEKEDRAOther694 shares
2026-01-22VAZQUEZ RAULOther347 shares
2026-01-22ROSLANSKY RYANOther1,294 shares
2026-01-22NORA JOHNSON SUZANNE MOther3,419 shares

Open-market buys vs sells by company insiders. Source: yfinance.

Earnings Surprise History

Q4
✓ Beat
Est: $10.91
Act: $11.65
+6.8%
Q3
✓ Beat
Est: $2.66
Act: $2.75
+3.4%
Q2
✓ Beat
Est: $3.09
Act: $3.34
+8.0%
Q1
✓ Beat
Est: $3.68
Act: $4.15
+12.7%

EPS estimates vs actuals for the most recent reported quarters. Source: yfinance.

Dividend History

$1.2000
Latest Dividend
$4.32
2025 Total
+15.5%
YoY Growth
9 yrs
Consecutive Increases
Annual Dividends per Share
$0.64
2016
$1.41
2017
$1.64
2018
$1.94
2019
$2.18
2020
$2.45
2021
$2.82
2022
$3.24
2023
$3.74
2024
$4.32
2025
$2.40
2026
DateAmountChange
2026-04-09$1.20000.0%
2026-01-09$1.20000.0%
2025-10-09$1.2000+15.4%
2025-07-10$1.04000.0%
2025-04-10$1.04000.0%
2025-01-10$1.04000.0%
2024-10-10$1.0400+15.6%
2024-07-10$0.90000.0%
2024-04-09$0.90000.0%
2024-01-09$0.90000.0%
2023-10-05$0.9000+15.4%
2023-07-07$0.78000.0%
Stock Splits
2006-07-07: 2:11999-10-01: 3:11995-08-22: 2:1

Dividend and split data from SEC filings and market data. Amounts are per share, not adjusted for splits. Source: yfinance.

Risk Profile

36.6%
Annual Volatility
-1.29
Sharpe (1Y)
-56.4%
Max Drawdown (5Y)

Sharpe = risk-adjusted return (higher is better). Max drawdown = largest peak-to-trough decline. 1,200+ trading days.

Underwater (Drawdown from Peak)

How far below the all-time high the price has been over time. Deeper = more pain for holders.

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Rolling 60-Day Beta vs S&P 500 (VOO)

How the stock's sensitivity to market moves changes over time. β > 1 = more volatile than the market.

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Rolling Beta Market (β = 1.0)

Fama-French 5-Factor Exposure

Academic factor model decomposition — what's really driving this stock's returns.

0.84
Market β
Mkt-RF
-0.210
Size (SMB)
Large-cap tilt
-0.381
Value (HML)
Growth tilt
-0.203
Profit (RMW)
Weak
+0.310
Invest (CMA)
Conservative
Alpha (annual): -52.35%
R²: 27.3%of variance explained by 5 factors

Fama-French 5-Factor Model. Data: Kenneth French Data Library. Regression over 3 years of daily returns.

Fundamentals

12.1
Forward P/E
0.81
PEG Ratio
4.83
Price/Book
4M
Avg Volume
$813.70
52W High
$300.50
52W Low
4%
52W Range Position

Passive Flow Attribution

ETF Draft Effect
$18.7B
Tracked Passive Exposure
8
ETFs Holding INTU
0.27%
Avg Weight in ETFs
$6.9T
Total ETF AUM

When investors buy or sell ETFs like IGV or VFQY, the fund manager is mechanically forced to buy or sell INTU shares regardless of Intuit Inc.'s individual fundamentals. We estimate $18.7B of passive capital is structurally linked to INTU through 8 tracked ETFs. This substantial passive exposure means that ETF inflows and outflows — not company fundamentals — can dominate daily volume on this stock.

Passive exposure = Σ (ETF AUM × stock weight in ETF) across 8 tracked ETFs. Actual passive ownership is larger (includes mutual funds). Not investment advice.

ETF Contagion Visualizer

Simulate a price drop in Intuit Inc. to visualize passive redemption contagion across ETFs and collateral stocks.

INTU Shock
-0%
Est. Passive Redemption
$0
Systemic Risk
STABLE
INTUEpicenterVTIETFVOOETFIVVETFSHOPLow RiskAAPLLow RiskNVDALow RiskMSFTLow RiskORCLMed Risk
INTU Price Drop (%)0

If Intuit Inc. (INTU) experiences a significant drawdown, ETF redemptions can create collateral selling pressure on co-held stocks. Our model identifies SHOPIFY INC - CLASS A (SHOP) as the most exposed collateral stock, sharing 1 ETFs with INTU. This is the "Passive Contagion" effect described in the Inelastic Market Hypothesis.

Contagion model based on shared ETF exposure and constituent weights across 35 tracked ETFs. Estimated selling pressure is a simplified model — actual impact depends on market liquidity, ETF redemption mechanics, and market-maker activity.

INTU Ownership Dynamics

Passive funds hold 1 in every 6 INTU shares, reducing daily market volatility.

Ticker
INTU
Total Shares
274M
ETF Lock-Up
15.7%
Display Mode
Total Float Impact
15.7%Locked Float

Intuit Inc. (INTU) exerts notable gravity on the passive index market, currently representing 4.1% of the IGV (IGV) and 1.1% of the VFQY (VFQY). Across 35 tracked ETFs, approximately 43M shares (15.7% of float) are held by passive funds and rarely trade on the open market. This level of passive ownership means index rebalances can create outsized volume events.

Float lock-up computed from 35 ETFs tracked by SecuritiesDB. Actual passive ownership is higher (includes mutual funds, pension funds, etc.).

INTU Institutional Volume Profile

252-day volume distribution by price level. The Point of Control (POC) marks the price where the most institutional volume transacted — an implicit support/resistance floor.

TICKER
INTU
PRICE
$322.14
FLOOR (POC)
$389.78
STRENGTH
High
$31310%$322.14$339$364$390POC 14%$4158%$4418%$466$492$517$543$568$594$619$64511%$67013%$696$721$747$772$798
Focus Zone
Point of Control (POC) Support (below price) Resistance (above price) Current Price

The highest-volume price zone for Intuit Inc. over the past year sits near $389.78 (14% of 252-day volume). The current price of $322.14 sits 17.4% below the POC — suggesting potential mean-reversion upside if institutional demand reasserts at this level. The highly concentrated volume profile (14% at POC) indicates strong consensus on fair value — institutional participants have repeatedly transacted near this price.

Volume Profile computed from 252 trading days of OHLCV data. Volume allocated to price bins proportionally based on daily high-low range. Not investment advice.

INTU Capital Efficiency

How efficiently does Intuit Inc. convert operating profits into free cash? The FCF Conversion ratio measures the gap between accounting earnings and real cash generation.

Free Cash Flow
$6.1B
EBITDA
$5.9B
FCF Conversion
103%
Reinvestment Rate
-3%
103% of EBITDA → Free Cash
0% (cash burn)25% (low)50% (efficient)100% (pure cash)
ROIC
15.1%
ROIC − WACC Spread
3.3%

Intuit Inc. converts 103% of its EBITDA into free cash flow, an exceptional conversion rate indicating an asset-light business model with minimal capital reinvestment drag. The positive ROIC-WACC spread of 3.3% confirms that reinvested capital creates shareholder value.

Capital efficiency = Free Cash Flow ÷ EBITDA. Reinvestment = (EBITDA − FCF) ÷ EBITDA. Metrics from latest annual filings. Not investment advice.

Fails-to-Deliver (FTD) History

SEC-reported settlement failures. Elevated FTDs can indicate high short-selling pressure, operational settlement issues, or naked shorting activity.

DateFailed SharesClose PriceNotional Value
2026-05-14881$371.71$327,476.51
2026-05-072,727$388.55$1.1M
2026-05-0113$388.50$5,050.5
2026-04-27101$395.95$39,990.95
2026-04-24139$383.30$53,278.7
2026-04-2071$393.25$27,920.75
2026-04-173,643$387.11$1.4M
2026-04-165$389.72$1,948.6
2026-04-15112$366.80$41,081.6
2026-04-1084,160$361.69$30.4M
2026-03-27100$432.55$43,255
2026-03-2528$432.45$12,108.6
2026-03-235,404$455.56$2.5M
2026-03-16200$439.96$87,992
2026-03-12101,249$440.45$44.6M
2026-03-101$473.67$473.67
2026-03-093,286$481.17$1.6M
2026-03-0573,987$440.14$32.6M
2026-02-2313$380.55$4,947.15
2026-02-1941$389.57$15,972.37
2026-02-1821$379.17$7,962.57
2026-02-1310$397.96$3,979.6
2026-02-1281,408$399.69$32.5M
2026-02-09789$443.77$350,134.53
2026-02-0375$487.12$36,534
2026-02-0213$498.92$6,485.96
2026-01-201,120$545.29$610,724.8
2026-01-15483$566.60$273,667.8
2026-01-125$646.90$3,234.5
2026-01-06101$633.84$64,017.84

Source: SEC Regulation SHO FTD data. Data is reported with a ~30 day delay. High FTD quantities relative to average daily volume may indicate settlement stress.

Price Correlations

Statistical correlation of daily returns with other stocks. High correlations indicate stocks that move together; negative correlations can offer diversification.

Peer252-Day (1Y)126-Day (6M)Direction
WTGXXNaNNaN
NOW0.6290.716Moderate
ADSK0.6190.705Moderate
CRM0.6150.706Moderate
WDAY0.5910.757Moderate
ADBE0.5840.714Moderate
PAYC0.5270.618Moderate
GEN0.5190.632Moderate
ADP0.5150.587Moderate
TENB0.5080.570Moderate

Pearson correlation of daily log returns. 252d ≈ 1 trading year. Computed from price history. Not investment advice.

Compare INTU to Peers

Quant metrics computed deterministically from financial statements and price data. Updated: 2026-06-02.

SecuritiesDB provides programmatic data aggregation for informational purposes only. None of the metrics, summaries, or algorithmic flags constitute a recommendation to buy or sell any security.