INTUIT INC. (INTU)
Technology Software
$332.70 close · Sep 05, 2026
Fair Value (High) Est. $369.68 73 Health · Healthy
Above 50 SMA
52W -50.8% from High

Methodology Breakdown

Mature
Our Estimate
$369.68 High confidence
Equal-weighted blend of 2 independent methods, which span $335.18–$404.18. Current price $359.30 is below our estimate.
Method Value Role
DCF (Base Case) $283.08 IN ESTIMATE
DCF (TTM-anchored) $387.29 IN ESTIMATE
Peer Multiples $404.18 IN ESTIMATE
Earnings Power Value $122.22 CROSS-CHECK
Book Value Anchor $271.93 CROSS-CHECK
Earnings Anchor $356.51 CROSS-CHECK
Cash Floor $12.32 CROSS-CHECK
NAV Anchor $271.93 CROSS-CHECK
In estimate — combined into our number · Cross-check — computed for context, not counted
📈
Undervalued -50.6%
Market cap (91.83B) is 50.6% below the bear-case DCF fair value (186.02B)
Sep 05
Health Score
Health Score
73
Out of 100
Healthy
Pillar Scores
Financial Strength
81
Operating Trend
81
Valuation
Fair value 59
Capital Allocation
69
Risk Management
75
Positives
free-cash-flow margin +3.6
FCF margin + growth +4.7
EBIT / interest +3.1
Concerns
Signal contribution: +40.6 from strengths
Health Score Trend 8 snapshots
Cross-Check: Greenblatt Magic Formula
⚠ Mild Divergence
Earnings Yield
5.4%
Rank 541 / 1256
Return on Capital
190.6%
Rank 159 / 1256
Combined Rank
82th pctl
1256 companies ranked
Based on Joel Greenblatt's Magic Formula methodology. Not investment advice.
Financials
TTM Financials
Revenue ?Total sales generated from the company's primary business activities over the trailing twelve months.20.93B
Gross Profit ?Revenue minus cost of goods sold. What remains before operating expenses — reflects pricing power and production efficiency.
Operating Income ?Profit from core business operations after all operating expenses (EBIT). Excludes interest and taxes.5.75B
Net Income ?Bottom-line profit after all expenses, interest, and taxes are deducted from revenue.4.58B
Free Cash Flow ?Operating cash flow minus capital expenditures. The actual cash the business generates after maintaining its assets — the truest measure of profitability.7.76B
EBITDA ?Earnings before interest, taxes, depreciation & amortization. A proxy for operating cash earnings that strips out accounting and financing differences.5.92B
Total Debt ?Combined short-term and long-term interest-bearing debt obligations. Compare against cash and earnings to gauge leverage risk.6.16B
Cash & Equivalents ?Highly liquid assets on hand — cash, money market funds, and short-term securities. The company's immediate financial cushion.4.68B
Valuation
Market Cap91.83B
Enterprise Value94.04B
EV / Revenue4.5x
EV / EBITDA15.9x
P/E (TTM)20.0x
Forward P/E (extrapolated) 9.1x
PEG0.3x
P/FCF11.8x
FCF Yield8.5%
EV/EBITDA vs history — 57% percentile (mid-range)
CheapMidExpensive
EV/Sales vs history — 57% percentile (mid-range)
CheapMidExpensive
P/Book vs history — 57% percentile (mid-range)
CheapMidExpensive
DCF Fair Value Range (base CAGR: 15.0%)
Bear
$673.99
Base
$1,032.16
Bull
$1,556.33
Bear $674 Current $332.70 (below range) Bull $1,556
Market is pricing in -6.6% FCF growth annually — base model assumes 15.0%
Key Metrics
Gross Margin ?Gross profit as a % of revenue. Measures how efficiently the company produces its goods or services — higher is better.
EBITDA Margin ?EBITDA as a % of revenue. Shows core operating profitability before accounting adjustments — useful for comparing across industries.28.3%
Net Margin ?Net income as a % of revenue. The ultimate measure of overall profitability after every expense, interest payment, and tax is accounted for.21.9%
FCF Margin ?Free cash flow as a % of revenue. Shows how much of each dollar of revenue converts into real, spendable cash.37.1%
Revenue Growth (YoY) ?Year-over-year change in total revenue. Measures business momentum — sustained growth above 15% is typically considered strong.15.1%
Net Income Growth (YoY) ?Year-over-year change in net income. Shows whether profits are growing faster or slower than revenue — a key indicator of improving or deteriorating quality.32.2%
Piotroski F-Score ?Score from 0–9 measuring financial strength across profitability, leverage, and efficiency signals. 8–9 = strong, 0–2 = distressed.8 / 9
Altman Z-Score ?Bankruptcy risk model. Above 2.99 = safe zone, 1.81–2.99 = grey zone, below 1.81 = distress signal. Most useful for manufacturing companies.2.58
Community Sentiment
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Quarterly Financials
Metric Q3 '26 Q2 '26 Q1 '26 Q4 ' Q3 '25 Q2 '26 Q1 '26 Q4 ' Q3 '24 Q2 '24 Q1 '24 Q4 '
Revenue ?Total quarterly sales from primary business operations. 8.56B 4.65B 3.89B 3.83B 7.75B 3.96B 3.28B 3.18B 6.74B 3.39B 2.98B 2.71B
Gross Profit ?Quarterly revenue minus cost of goods sold.
Operating Income ?Quarterly profit from core operations before interest and taxes (EBIT). 4.02B 855.0M 534.0M 339.0M 3.72B 593.0M 271.0M -151.0M 3.11B 369.0M 307.0M 17.0M
Net Income ?Quarterly bottom-line profit after all expenses and taxes. 3.06B 693.0M 446.0M 381.0M 2.82B 471.0M 197.0M -20.0M 2.39B 353.0M 241.0M 89.0M
FCF ?Quarterly free cash flow: operating cash minus capital expenditures. 5.24B 1.52B 599.0M 396.0M 4.36B 1.04B 329.0M 434.0M 3.89B 550.0M -181.0M 852.0M
Revenue & Free Cash Flow
Market Cap vs. DCF Fair Value Band
Shaded region = bear-to-bull DCF range. Line = actual market cap.
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Disclaimer: This analysis is for informational purposes only and does not constitute investment advice. Scores and valuations are derived from SEC filings and publicly available data. Always do your own research before making investment decisions.
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