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$374.30 18.42 (-4.69%)
After Hours: $374.30 +0.00 (+0.00%)
Last updated: Apr 15, 2026 23:02
52-Week Range
$374.30
$299.44 $374.30 $449.16

Fundamentals Overview

ANSYS, Inc. is in the middle of its 52-week range with premium valuation, trending downward today.

Valuation premium

P/E 55.7 PEG 1.53 P/B 5.3 P/S 23.72

Intrinsic value (DCF)

-49.8% downside vs price

Profitability

Net margin 24.1%

Risk (Beta)

1.19 — in line vol

Earnings & growth

EPS $6.73 Rev -42.8% Profit -81.7% vs prior qtr

BullzEye Analysis

Our composite tilts Sell on technicals (e.g. RSI, ADX, trend), fundamentals, sentiment, sector and index context, and risk.

Composite Signal

Sell
Buy
Sell — 72% confidence Risk: Moderate Volatility — Beta 1.19. Diversify and only invest what you can afford to lose.

Pressures (Sell):

DCF 49.8% downside vs price · Sentiment weakening (4 downgrades)

Not financial advice. For education and research only; do your own research and consider a financial advisor before investing.

Key Stats

Market Cap
$32.91B
P/E (TTM)
55.65
EPS (TTM)
$6.73
Dividend Yield
N/A
52-Week Range
$299.44 - $449.16
Volume vs Avg
N/A
Beta
1.19

About

ANSYS, Inc. develops and markets engineering simulation software and services worldwide. It offers ANSYS Workbench, a framework upon which its multiphysics engineering simulation technologies are built and enables engineers to simulate the interactions between structures, heat transfer, fluids, electronics, and optical elements in a unified engineering simulation environment; high-performance computing product suite; power analysis and optimization software suite that manages the power budget, p...
Sector: Technology
Headquarters: US
Employees: 6,600
IPO Date: Jun 1996
Website: www.ansys.com
Beta: 1.19 (More volatile than market)

Ratings & Grades at a Glance

Recent institutional grades: majority downgrades. Current institutional positions: Buy: 3, Hold: 2, Neutral: 13, Outperform: 2, Peer Perform: 1, Sector Perform: 5, Underperform: 1, Underweight: 3.

Financial story & AI narrative

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Valuation & Ratios

Valuation, liquidity, and profitability metrics are consolidated here (including ratios that previously appeared in the Financials story). Trailing (TTM) vs forward-looking (e.g. DCF) is noted on each line where it matters.

DCF vs price: DCF estimate is $187.74; current price is $374.30. That’s a -49.8% gap. When the gap is large (e.g. >20%), that’s divergence; when they’re close, that’s convergence. Differences can reflect growth expectations, sector premiums, or conservative vs. optimistic assumptions. Use DCF as one input alongside technicals and sentiment.

Metric Value
Valuation
P/E (TTM) 55.65
DCF value (model) $187.74 (-49.8% vs price)
PEG (TTM) 1.53
P/B (TTM) 5.3
P/S (TTM) 23.72
P/FCF (TTM) 51.93
Liquidity & enterprise
Current Ratio (TTM) 3.66
Quick Ratio (TTM) 3.66
Cash Ratio (TTM) 2.26
Profitability
ROE (TTM) N/A
ROA (TTM) N/A
Revenue growth (YoY) N/A
Net margin (TTM) 24.12%
Gross margin (TTM) 89.53%
Operating margin (TTM) 29.88%
Debt to equity (TTM) N/A

Latest News

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Price Target, Ratings & Grades

Analyst price targets, consensus, rating snapshot, and institutional grades for ANSS.

Analyst Sentiment at a Glance

Sentiment Weakening
Buy 3Hold 2Neutral 13Outperform 2Peer Perform 1Sector Perform 5Underperform 1Underweight 3
0 upgrades, 4 downgrades
Price Target Consensus
Current $374.30
Median $360.00
Consensus $363.20
Low consensus $315.00
High consensus $425.00

Stock Grades (Institutions)

Institution Action Previous Grade New Grade Date
Baird downgrade Outperform Neutral 2025-07-14
Rosenblatt maintain Neutral Neutral 2025-02-21
Baird maintain Outperform Outperform 2024-11-07
Rosenblatt maintain Neutral Neutral 2024-08-06
Rosenblatt maintain Neutral Neutral 2024-05-03
Rosenblatt maintain Neutral Neutral 2024-03-05
Barclays maintain Underweight Underweight 2024-02-22
Mizuho maintain Neutral Neutral 2024-01-17
Wolfe Research downgrade Outperform Peer Perform 2024-01-17
Rosenblatt downgrade Buy Neutral 2024-01-17
B of A Securities downgrade Buy Underperform 2023-11-14
Mizuho maintain Neutral Neutral 2023-11-06
RBC Capital maintain Sector Perform Sector Perform 2023-11-03
Rosenblatt maintain Buy Buy 2023-11-03
Oppenheimer maintain Outperform Outperform 2023-11-03
Rosenblatt maintain Buy Buy 2023-08-04
RBC Capital maintain Sector Perform Sector Perform 2023-08-04
Rosenblatt maintain Buy Buy 2023-08-03
RBC Capital maintain Sector Perform Sector Perform 2023-08-03
Barclays maintain Underweight Underweight 2023-07-14
Barclays maintain Underweight Underweight 2023-07-13
Citigroup maintain Neutral Neutral 2023-05-05
RBC Capital maintain Sector Perform Sector Perform 2023-05-05
Citigroup maintain Neutral Neutral 2023-05-04
RBC Capital maintain Sector Perform Sector Perform 2023-05-04
Citigroup maintain Neutral Neutral 2023-04-24
Citigroup maintain Neutral Neutral 2023-04-23
Loop Capital maintain Hold Hold 2023-04-18
Loop Capital maintain Hold Hold 2023-04-17
Mizuho maintain Neutral Neutral 2023-04-17