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CACI International

US · CACI #1208 by market cap Listed 1970
581.85 -17.79 -2.97%
Live - 5344 symbols - heartbeat 484s ago · 2026-10-08 07:17
Pre-market 578.63 -0.55%
After-hours 581.85 0.00%
Overnight 579.00 -0.49%
Market cap
12.86B
P/B
2.88
EPS
24.16
Reader sentiment Are you bullish or bearish on CACI?

Anonymous reader poll. Unscientific, not investment advice.

✦ Quant Fair Value how this is computed

Near fair value
255.66 fair value ≈ 449.81 643.94
  • Implied fair-value range of 255.66-643.94, from this stock's own trailing 5-year average P/E applied to trailing EPS.
  • Current price is +29.4% above the average-multiple fair value of 449.81.

Valuation each multiple against its own 5-year range

P/B ratio 3.13 Expensive vs history 90th percentile
5-year average 2.24 · #49 of 73 in Information Technology Services
P/E ratio 26.16 Expensive vs history 91st percentile
5-year average 18.62 · forward 23.91 · #36 of 42 in Information Technology Services
P/S ratio 1.46 Expensive vs history 91st percentile
5-year average 1.04 · forward 1.30 · #42 of 78 in Information Technology Services

Vs. peers Information Technology Services

Company Market cap P/E (TTM) P/B Div yield
CACI International (CACI) 12.86B 24.08 2.88 0.00%
IBM Corp (IBM) 207.75B 19.53 6.03 3.05%
Accenture (ACN) 117.20B 14.50 3.71 3.32%
Infosys (INFY) 42.73B 13.02 4.44 4.97%
Cognizant (CTSH) 25.71B 12.25 1.78 2.24%
Fiserv (FISV) 24.09B 8.68 0.90 0.00%

Other StockVane-tracked companies in the same industry.

Morningstar

★★★★★ Fair value717.98 Economic moatNarrow UncertaintyMedium

Trading 23.4% below Morningstar's fair value estimate.

Fair value

CACI International Inc receives a 5-star quantitative star rating, reflecting our opinion that this share class offers a compelling opportunity for investors. The stock currently trades at a 15% discount to our quantitative fair value estimate of $717.98 per share; however, some caution is warranted due to this estimate's medium uncertainty rating.

The company's valuation metrics bolster our fair value estimate. A company's valuation metrics provide insights into the market's expectations for its future growth and profitability. Reflecting the firm's valuation is its enterprise value to market value ratio of 1.4, which lies in the top 30% compared with peers globally. While highly leveraged firms can be risky, they can also be highly rewarding. This company's high enterprise value relative to its market value suggests that wise investments will yield outsize returns for investors. We believe this is a sign that shares could be undervalued.

Conversely, the company's unfavorable dividend structure is potentially concerning. Dividends represent a stable form of future cash flows returned to shareholders, and low dividend payments can increase the perceived risk of a business. The firm's forward dividend yield of 0%, for example, ranks in the bottom 30% compared with peers globally. This could imply a planned dividend cut or relatively high share price, which, despite our favorable price/fair value ratio, is a negative attribute.

Economic moat

The narrow moat rating for this company indicates investors can expect it to generate 10 years or more of excess returns on capital due to its respectable competitive advantages. In addition, the company's moderate financial health score is decent and doesn't seriously concern us with regard to financial distress.

By Quantitative Equity Report

Quote time 2026-10-08 07:17:06 · For reference only, not investment advice and not tailored to your situation.