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ALAB - Astera Labs Inc

121


$126.16

-$0.18 (-0.142%)
At market close

$126.02

-$0.14 (-0.110%)
Pre Market 3/20/26, 8:33 AM
Stock Unlock LogoScore

3.89/5

General
Scores
Financials & KPIs
Dividends
Analyst
Insider
Metric Margins Overview
Metrics
4
KPIs
View as %
Astera Labs Inc logo

Astera Labs Inc

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Legend
CAGR
Total Change
Average
Median
Low
High
Latest
Operating Margin
--
--
9.41%
10.87%
-4.45%
2025-03-31
20.34%
2025-12-31
20.34%
2025-12-31
Net Margin
339%
205%
19.55%
21.12%
8.44%
2025-03-31
27.5%
2025-09-30
25.7%
2025-12-31
Gross Margin
-0.13%
-0.1%
75.59%
75.6%
75.41%
2025-09-30
75.76%
2025-03-31
75.69%
2025-12-31
Free Cash Flow Margin
71.08%
49.86%
30.39%
32.39%
22.05%
2025-03-31
34.74%
2025-06-30
33.05%
2025-12-31
Income Statement
Balance Sheet
Cash Flow
Metrics
KPIs
% Change
Colors
.
#'s in thousands USDAll Time2025-12-312025-09-302025-06-302025-03-312024-12-31
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Margins
Gross Margin
75.69%
75.41%
75.52%
75.76%
42K%
SGA Margin
19.69%
23.77%
29.15%
37.02%
42K%
Operating Margin
20.34%
14.74%
6.99%
-4.45%
42K%
EBITDA Margin
21.14%
15.43%
7.70%
-3.70%
42K%
Net Margin
25.70%
27.50%
16.54%
8.44%
42K%
Free Cash Flow Margin
33.05%
31.73%
34.74%
22.05%
42K%
Operating Cash Flow Margin
37.45%
36.48%
41.13%
29.26%
42K%
Valuation Metrics
Market Cap
28,098,805
32,545,707
14,911,778
9,828,843
42,069,000
Enterprise Value
26,909,989
31,411,279
13,846,692
8,904,117
42,069,000
Price to Sales
32.96
45.01
24.63
20.04
42,069
Price to Gross
43.55
59.69
32.61
26.45
42,069
Price to Operating Cash Flow
88
123.4
59.87
68.48
42,069
Price to Operating Income
162.02
305.28
352.47
0
42,069
Price to Earnings
128.23
163.66
148.88
237.45
42,069
Price to Free Cash Flow
99.73
141.85
70.88
90.87
42,069
Management
Return On Assets
14.31%
14.19%
7.88%
3.69%
42K%
Return On Capital Employed
12.40%
8.20%
3.63%
-2.09%
42K%
Return On Equity
16.07%
15.64%
8.82%
3.97%
42K%
Return On Invested Capital
14.58%
13.75%
5.89%
-0.08%
42K%
Stock Based Compensation
SBC as a % of FCF
56.80%
72.73%
81.60%
165.73%
42K%
SBC as a % of OCF
50.12%
63.27%
68.92%
124.90%
42K%
SBC as a % of Revenue
18.77%
23.08%
28.35%
36.55%
42K%
FCF Excl. SBC Yield
0.43%
0.19%
0.26%
-0.72%
42K%
Per Share
Free Cash Flow Per Share
1.55
1.27
1.18
0.61
42,069
Operating Cash Flow Per Share
1.76
1.46
1.4
0.81
42,069
Revenue Per Share
4.7
4
3.4
2.75
42,069
Financial Health
Debt to EBITDA Ratio
0
0
0
0
42,069
Net Debt
-1,188,816
-1,134,428
-1,065,086
-924,726
42,069,000
Total Debt
0
0
0
0
42,069,000