Symbols / ACLS $139.93 +5.06% Axcelis Technologies, Inc.

Technology • Semiconductor Equipment & Materials • United States • NMS
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About

Axcelis Technologies, Inc. designs, manufactures, and services ion implantation and other processing equipment used in the fabrication of semiconductor chips in the United States, Europe, and the Asia Pacific. The company provides high energy, high current, and medium current implanters for various application requirements. It also offers aftermarket lifecycle products and services, including used tools, spare parts, equipment upgrades, maintenance services, and customer training. The company sells its equipment and services to semiconductor chip manufacturers through its direct sales force. Axcelis Technologies, Inc. was founded in 1978 and is headquartered in Beverly, Massachusetts.

Fundamentals
Scroll to Statements
Market Cap 4.30B Enterprise Value 3.79B Income 120.24M Sales 839.05M Book/sh 33.68 Cash/sh 12.18
Dividend Yield Payout 0.00% Employees 1465 IPO P/E 36.82 Forward P/E 31.01
PEG 1.45 P/S 5.12 P/B 4.15 P/C EV/EBITDA 29.32 EV/Sales 4.52
Quick Ratio 2.75 Current Ratio 4.77 Debt/Eq 6.94 LT Debt/Eq EPS (ttm) 3.80 EPS next Y 4.51
EPS Growth -28.30% Revenue Growth -5.60% Earnings 2026-05-05 ROA 5.50% ROE 11.74% ROIC
Gross Margin 44.91% Oper. Margin 15.18% Profit Margin 14.33% Shs Outstand 30.73M Shs Float 30.44M Short Float 17.85%
Short Ratio 5.23 Short Interest 52W High 140.49 52W Low 45.71 Beta 1.65 Avg Volume 834.64K
Volume 880.24K Target Price $111.67 Recom Buy Prev Close $133.19 Price $139.93 Change 5.06%
Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus
$111.67
Mean price target
2. Current target
$139.93
Latest analyst target
3. DCF / Fair value
$41.67
Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$139.93
Low
$90.00
High
$150.00
Mean
$111.67

Latest analyst rating changes

Date Action Analyst Rating Change Price Target
2026-02-18 main B. Riley Securities Neutral → Neutral $91
2026-01-21 main B. Riley Securities Neutral → Neutral $94
2026-01-13 main B of A Securities Underperform → Underperform $100
2025-11-05 main B. Riley Securities Neutral → Neutral $84
2025-10-13 down B of A Securities Neutral → Underperform $90
2025-10-02 main DA Davidson Buy → Buy $110
2025-10-02 up Benchmark Hold → Buy $105
2025-08-06 main DA Davidson Buy → Buy $90
2025-06-18 main B. Riley Securities Neutral → Neutral $75
2025-05-06 main B. Riley Securities Neutral → Neutral $58
2025-04-21 down B. Riley Securities Buy → Neutral $50
2025-02-12 down William Blair Outperform → Market Perform
2025-02-12 reit Needham Hold → Hold
2025-01-15 main Craig-Hallum Buy → Buy $105
2024-11-08 reit Needham — → Hold
2024-08-02 main Benchmark Buy → Buy $175
2024-08-02 main B. Riley Securities Buy → Buy $165
2024-08-02 reit Needham — → Hold
2024-07-15 main DA Davidson Buy → Buy $175
2024-07-15 main Benchmark Buy → Buy $180
Insider Transactions
Filed Date Insider Relationship Transaction Shares Price Value SEC
2026-04-01 LOW RUSSELL J Chief Executive Officer 1,244 $94.06 $117,011
2026-03-24 LOW RUSSELL J Chief Executive Officer 1,244 $90.00 $111,960
2026-02-20 TITINGER JORGE LUIS Director 1,000 $80.00 $80,000
2026-01-15 MAHONEY ROBERT JOHN Officer 1,734 $0.00 $0
2025-12-17 TITINGER JORGE LUIS Director 2,000 $86.05 $172,100
2025-12-11 BLUMENSTOCK GERALD M Officer 3,034 $89.46 $271,422
2025-05-20 KURTZWEIL JOHN THOMAS Director 1,682 $61.93 $104,166
2025-05-15 KURTZWEIL JOHN THOMAS Director 3,586 $0.00 $0
2025-05-15 SAYINER NECIP Director 3,586 $0.00 $0
2025-05-15 TITINGER JORGE LUIS Director 3,586 $0.00 $0
Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
839.05
-17.57%
1,017.87
-9.97%
1,130.60
+22.89%
920.00
Operating Revenue
839.05
-17.57%
1,017.87
-9.97%
1,130.60
+22.89%
920.00
Cost Of Revenue
462.20
-17.93%
563.21
-11.90%
639.30
+23.37%
518.21
Reconciled Cost Of Revenue
462.20
-17.93%
563.21
-11.90%
639.30
+23.37%
518.21
Gross Profit
376.85
-17.11%
454.65
-7.46%
491.30
+22.28%
401.79
Operating Expense
257.53
+5.61%
243.86
+8.14%
225.51
+19.05%
189.43
Research And Development
108.96
+3.28%
105.50
+8.86%
96.91
+23.68%
78.36
Selling General And Administration
148.57
+7.38%
138.36
+7.59%
128.60
+15.78%
111.07
Selling And Marketing Expense
65.37
-3.94%
68.05
+8.34%
62.80
+17.18%
53.60
General And Administrative Expense
83.21
+18.33%
70.32
+6.87%
65.79
+14.48%
57.47
Other Gand A
83.21
+18.33%
70.32
+6.87%
65.79
+14.48%
57.47
Total Expenses
719.73
-10.82%
807.07
-6.68%
864.81
+22.21%
707.64
Operating Income
119.31
-43.40%
210.79
-20.69%
265.80
+25.16%
212.36
Total Operating Income As Reported
119.31
-43.40%
210.79
-20.69%
265.80
+25.16%
212.36
EBITDA
161.23
-35.91%
251.54
-15.31%
297.01
+33.75%
222.07
Normalized EBITDA
161.23
-35.91%
251.54
-15.31%
297.01
+33.75%
222.07
Reconciled Depreciation
17.61
+11.41%
15.81
+20.97%
13.07
+12.60%
11.61
EBIT
143.61
-39.08%
235.74
-16.98%
283.95
+34.92%
210.46
Net Income
120.24
-40.18%
200.99
-18.38%
246.26
+34.51%
183.08
Pretax Income
138.25
-39.96%
230.27
-17.35%
278.60
+35.98%
204.88
Net Non Operating Interest Income Expense
16.12
-14.89%
18.94
+47.38%
12.85
+1353.85%
-1.02
Interest Expense Non Operating
5.36
-1.79%
5.46
+2.15%
5.35
-4.11%
5.58
Net Interest Income
16.12
-14.89%
18.94
+47.38%
12.85
+1353.85%
-1.02
Interest Expense
5.36
-1.79%
5.46
+2.15%
5.35
-4.11%
5.58
Interest Income Non Operating
21.48
-11.96%
24.40
+34.09%
18.20
+299.89%
4.55
Interest Income
21.48
-11.96%
24.40
+34.09%
18.20
+299.89%
4.55
Other Income Expense
2.81
+422.08%
0.54
+1222.92%
-0.05
+99.26%
-6.45
Other Non Operating Income Expenses
2.81
+422.08%
0.54
+1222.92%
-0.05
+99.26%
-6.45
Tax Provision
18.01
-38.49%
29.28
-9.44%
32.34
+48.29%
21.81
Tax Rate For Calcs
0.00
+2.36%
0.00
+9.48%
0.00
+8.99%
0.00
Tax Effect Of Unusual Items
0.00
0.00
0.00
0.00
Net Income Including Noncontrolling Interests
120.24
-40.18%
200.99
-18.38%
246.26
+34.51%
183.08
Net Income From Continuing Operation Net Minority Interest
120.24
-40.18%
200.99
-18.38%
246.26
+34.51%
183.08
Net Income From Continuing And Discontinued Operation
120.24
-40.18%
200.99
-18.38%
246.26
+34.51%
183.08
Net Income Continuous Operations
120.24
-40.18%
200.99
-18.38%
246.26
+34.51%
183.08
Normalized Income
120.24
-40.18%
200.99
-18.38%
246.26
+34.51%
183.08
Net Income Common Stockholders
120.24
-40.18%
200.99
-18.38%
246.26
+34.51%
183.08
Diluted EPS
6.15
-17.23%
7.43
+36.08%
5.46
Basic EPS
6.17
-17.95%
7.52
+35.74%
5.54
Basic Average Shares
32.55
-0.63%
32.76
-0.86%
33.04
Diluted Average Shares
32.70
-1.39%
33.16
-1.12%
33.54
Diluted NI Availto Com Stockholders
120.24
-40.18%
200.99
-18.38%
246.26
+34.51%
183.08
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Assets
1,361.35
+0.93%
1,348.78
+5.21%
1,281.97
+26.47%
1,013.64
Current Assets
943.20
-16.06%
1,123.61
+4.04%
1,079.99
+23.06%
877.64
Cash Cash Equivalents And Short Term Investments
374.25
-34.50%
571.34
+12.88%
506.15
+17.12%
432.17
Cash And Cash Equivalents
145.45
+17.76%
123.51
-26.17%
167.30
-9.86%
185.59
Other Short Term Investments
228.80
-48.91%
447.83
+32.16%
338.85
+37.43%
246.57
Receivables
168.48
-17.07%
203.15
-6.80%
217.96
+28.39%
169.77
Accounts Receivable
168.48
-17.07%
203.15
-6.80%
217.96
+28.39%
169.77
Gross Accounts Receivable
168.48
-17.07%
203.15
-6.99%
218.42
+28.66%
169.77
Allowance For Doubtful Accounts Receivable
0.00
0.00
+100.00%
-0.46
0.00
Inventory
329.01
+16.58%
282.23
-7.91%
306.48
+26.43%
242.41
Raw Materials
259.04
+14.04%
227.14
-1.76%
231.20
+23.43%
187.31
Work In Process
51.76
+50.08%
34.49
-23.99%
45.37
+29.38%
35.07
Finished Goods
18.21
-11.58%
20.59
-31.14%
29.91
+49.37%
20.02
Prepaid Assets
4.66
-27.45%
6.42
0.00
Other Current Assets
66.80
+10.47%
60.47
+22.42%
49.40
+48.34%
33.30
Total Non Current Assets
418.15
+85.70%
225.17
+11.49%
201.98
+48.52%
136.00
Net PPE
99.23
+0.48%
98.75
-2.53%
101.32
+45.26%
69.75
Gross PPE
136.48
+5.10%
129.86
+1.65%
127.75
+37.36%
93.01
Accumulated Depreciation
-37.25
-19.74%
-31.11
-17.69%
-26.43
-13.67%
-23.25
Properties
31.05
+20.29%
25.81
+18.40%
21.80
+21.12%
18.00
Machinery Furniture Equipment
49.17
+8.12%
45.48
+9.47%
41.55
+19.64%
34.73
Construction In Progress
13.17
-3.14%
13.60
-20.27%
17.05
+67.39%
10.19
Other Properties
43.08
-4.19%
44.97
-5.03%
47.35
+57.37%
30.09
Investments And Advances
182.40
0.00
Non Current Deferred Assets
79.89
+17.02%
68.28
+27.79%
53.43
+68.54%
31.70
Non Current Deferred Taxes Assets
79.89
+17.02%
68.28
+27.79%
53.43
+68.54%
31.70
Other Non Current Assets
56.63
-2.60%
58.15
+23.11%
47.23
+36.73%
34.54
Total Liabilities Net Minority Interest
326.67
-2.77%
335.99
-19.44%
417.08
+20.41%
346.38
Current Liabilities
197.66
-4.75%
207.52
-27.22%
285.13
+14.91%
248.13
Payables And Accrued Expenses
53.69
+14.41%
46.93
-22.52%
60.56
-9.13%
66.65
Payables
53.69
+14.41%
46.93
-22.52%
60.56
-9.13%
66.65
Accounts Payable
42.31
-9.84%
46.93
-13.74%
54.40
-12.75%
62.35
Pensionand Other Post Retirement Benefit Plans Current
34.23
+34.06%
25.54
-18.79%
31.45
-11.52%
35.54
Total Tax Payable
11.38
0.00
-100.00%
6.16
+43.22%
4.30
Income Tax Payable
11.38
0.00
-100.00%
6.16
+43.22%
4.30
Current Debt And Capital Lease Obligation
1.57
+17.10%
1.34
-10.99%
1.51
+22.95%
1.23
Current Capital Lease Obligation
1.57
+17.10%
1.34
-10.99%
1.51
+22.95%
1.23
Current Deferred Liabilities
65.49
-30.82%
94.67
-42.51%
164.68
+33.37%
123.47
Current Deferred Revenue
65.49
-30.82%
94.67
-42.51%
164.68
+33.37%
123.47
Other Current Liabilities
33.15
+27.41%
26.02
+102.73%
12.83
-0.84%
12.94
Total Non Current Liabilities Net Minority Interest
129.01
+0.42%
128.47
-2.64%
131.96
+34.30%
98.25
Long Term Debt And Capital Lease Obligation
40.75
-3.72%
42.33
-3.08%
43.67
-3.34%
45.19
Long Term Capital Lease Obligation
40.75
-3.72%
42.33
-3.08%
43.67
-3.34%
45.19
Non Current Deferred Liabilities
43.45
-0.13%
43.50
-5.86%
46.21
+47.60%
31.31
Non Current Deferred Revenue
43.45
-0.13%
43.50
-5.86%
46.21
+47.60%
31.31
Other Non Current Liabilities
44.81
+5.10%
42.64
+1.34%
42.07
+93.34%
21.76
Stockholders Equity
1,034.68
+2.16%
1,012.79
+17.10%
864.88
+29.62%
667.26
Common Stock Equity
1,034.68
+2.16%
1,012.79
+17.10%
864.88
+29.62%
667.26
Capital Stock
0.03
-3.13%
0.03
-3.03%
0.03
+0.00%
0.03
Common Stock
0.03
-3.13%
0.03
-3.03%
0.03
+0.00%
0.03
Share Issued
30.72
-5.09%
32.37
-0.98%
32.69
-0.27%
32.77
Ordinary Shares Number
30.72
-5.09%
32.37
-0.98%
32.69
-0.27%
32.77
Additional Paid In Capital
533.31
-2.80%
548.65
+0.27%
547.19
-0.57%
550.30
Retained Earnings
503.54
+7.06%
470.32
+47.20%
319.51
+168.74%
118.89
Gains Losses Not Affecting Retained Earnings
-2.20
+64.56%
-6.21
-236.62%
-1.85
+6.20%
-1.97
Other Equity Adjustments
-2.20
+64.56%
-6.21
-236.62%
-1.85
+6.20%
-1.97
Total Equity Gross Minority Interest
1,034.68
+2.16%
1,012.79
+17.10%
864.88
+29.62%
667.26
Total Capitalization
1,034.68
+2.16%
1,012.79
+17.10%
864.88
+29.62%
667.26
Working Capital
745.54
-18.62%
916.09
+15.25%
794.86
+26.27%
629.51
Invested Capital
1,034.68
+2.16%
1,012.79
+17.10%
864.88
+29.62%
667.26
Total Debt
42.33
-3.08%
43.67
-3.34%
45.19
-2.65%
46.41
Capital Lease Obligations
42.33
-3.08%
43.67
-3.34%
45.19
-2.65%
46.41
Net Tangible Assets
1,034.68
+2.16%
1,012.79
+17.10%
864.88
+29.62%
667.26
Tangible Book Value
1,034.68
+2.16%
1,012.79
+17.10%
864.88
+29.62%
667.26
Current Provisions
9.52
-26.92%
13.02
-7.63%
14.10
+69.88%
8.30
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
118.31
-15.99%
140.82
-10.23%
156.87
-27.24%
215.61
Cash Flow From Continuing Operating Activities
118.31
-15.99%
140.82
-10.23%
156.87
-27.24%
215.61
Net Income From Continuing Operations
120.24
-40.18%
200.99
-18.38%
246.26
+34.51%
183.08
Depreciation Amortization Depletion
17.61
+11.41%
15.81
+20.97%
13.07
+12.60%
11.61
Depreciation And Amortization
17.61
+11.41%
15.81
+20.97%
13.07
+12.60%
11.61
Stock Based Compensation
20.77
-0.85%
20.95
+14.68%
18.27
+35.89%
13.44
Provisionand Write Offof Assets
3.89
-56.55%
8.95
+41.21%
6.34
+38.88%
4.57
Deferred Tax
-10.70
+31.40%
-15.59
+22.10%
-20.02
-334.51%
8.54
Deferred Income Tax
-10.70
+31.40%
-15.59
+22.10%
-20.02
-334.51%
8.54
Operating Gains Losses
1.50
-80.12%
7.54
+234.99%
2.25
-62.38%
5.99
Gain Loss On Investment Securities
-0.43
-62.92%
-0.27
Net Foreign Currency Exchange Gain Loss
1.94
-75.23%
7.81
+246.85%
2.25
-62.38%
5.99
Gain Loss On Sale Of PPE
0.00
Change In Working Capital
-30.86
+63.87%
-85.40
+12.16%
-97.23
-737.46%
-11.61
Change In Receivables
37.43
+441.77%
6.91
+113.61%
-50.76
+24.55%
-67.27
Changes In Account Receivables
37.43
+441.77%
6.91
+113.61%
-50.76
+24.55%
-67.27
Change In Inventory
-42.22
-813.49%
5.92
+108.46%
-69.96
-19.72%
-58.43
Change In Prepaid Assets
-5.21
+55.45%
-11.70
+27.07%
-16.05
-145.61%
-6.53
Change In Payables And Accrued Expense
19.31
+304.36%
-9.45
-118.83%
-4.32
-113.75%
31.39
Change In Payable
19.31
+304.36%
-9.45
-118.83%
-4.32
-113.75%
31.39
Change In Account Payable
6.19
+1599.03%
-0.41
+94.90%
-8.10
-125.81%
31.39
Change In Other Working Capital
-40.16
+47.89%
-77.08
-275.79%
43.85
-50.86%
89.23
Investing Cash Flow
29.93
+127.53%
-108.73
-7.80%
-100.86
+60.79%
-257.25
Cash Flow From Continuing Investing Activities
29.93
+127.53%
-108.73
-7.80%
-100.86
+60.79%
-257.25
Net PPE Purchase And Sale
0.00
Sale Of PPE
0.00
Capital Expenditure
-11.29
+7.27%
-12.18
+41.03%
-20.66
-93.35%
-10.68
Capital Expenditure Reported
-11.29
+7.27%
-12.18
+41.03%
-20.66
-93.35%
-10.68
Net Investment Purchase And Sale
41.22
+142.70%
-96.55
-20.38%
-80.20
+67.47%
-246.57
Purchase Of Investment
-646.00
-19.82%
-539.12
-38.66%
-388.81
-57.69%
-246.57
Sale Of Investment
687.22
+55.28%
442.57
+43.41%
308.61
0.00
Financing Cash Flow
-124.49
-74.87%
-71.19
-4.28%
-68.27
-4.26%
-65.48
Cash Flow From Continuing Financing Activities
-124.49
-74.87%
-71.19
-4.28%
-68.27
-4.26%
-65.48
Net Issuance Payments Of Debt
-1.36
+11.02%
-1.52
-22.98%
-1.24
-25.63%
-0.99
Repayment Of Debt
-1.36
+11.02%
-1.52
-22.98%
-1.24
-25.63%
-0.99
Long Term Debt Payments
-1.36
+11.02%
-1.52
-22.98%
-1.24
-25.63%
-0.99
Net Long Term Debt Issuance
-1.36
+11.02%
-1.52
-22.98%
-1.24
-25.63%
-0.99
Net Common Stock Issuance
-121.08
-100.17%
-60.49
-15.22%
-52.50
+8.69%
-57.49
Common Stock Payments
-121.08
-100.17%
-60.49
-15.22%
-52.50
+8.69%
-57.49
Repurchase Of Capital Stock
-121.08
-100.17%
-60.49
-15.22%
-52.50
+8.69%
-57.49
Proceeds From Stock Option Exercised
2.46
+3.10%
2.38
+14.55%
2.08
-28.43%
2.91
Net Other Financing Charges
-4.51
+60.96%
-11.56
+30.39%
-16.61
-67.67%
-9.91
Changes In Cash
23.74
+160.71%
-39.10
-219.00%
-12.26
+88.56%
-107.13
Effect Of Exchange Rate Changes
1.27
+133.67%
-3.79
-2624.46%
-0.14
+93.70%
-2.21
Beginning Cash Position
131.06
-24.65%
173.95
-6.65%
186.35
-36.98%
295.68
End Cash Position
156.08
+19.09%
131.06
-24.65%
173.95
-6.65%
186.35
Free Cash Flow
107.01
-16.81%
128.64
-5.56%
136.21
-33.53%
204.92
Interest Paid Supplemental Data
4.57
-3.26%
4.73
-3.02%
4.87
-2.36%
4.99
Income Tax Paid Supplemental Data
61.13
+12.76%
54.22
+403.74%
10.76
Amortization Of Securities
-4.15
+66.59%
-12.44
-2.96%
-12.08
0.00
Change In Income Tax Payable
13.12
+245.17%
-9.03
-338.62%
3.79
+8.39%
3.49
Change In Tax Payable
13.12
+245.17%
-9.03
-338.62%
3.79
+8.39%
3.49
SEC Filings

Recent 10-K, 10-Q, 8-K, and Form 4 (insider) filings.

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