AD

Array Digital Infrastructure, Inc.

$45.85

+0.26%
Mar 31, 2026
Bobby Quantitative Model
Array Digital Infrastructure operates in the Telecommunications Services industry, focusing on wireless tower infrastructure. The company is transitioning from a regional wireless operator to a digital infrastructure firm, retaining a portfolio of wireless towers and strategic spectrum assets.

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AD 12-Month Price Forecast

Historical Price
Current Price $45.85
Average Target $45.85
High Target $52.7275
Low Target $38.972500000000004

Wall Street consensus

Most Wall Street analysts maintain a constructive view on Array Digital Infrastructure, Inc.'s 12-month outlook, with a consensus price target around $59.61 and implied upside of +30.0% versus the current price.

Average Target

$59.61

3 analysts

Implied Upside

+30.0%

vs. current price

Analyst Count

3

covering this stock

Price Range

$37 - $60

Analyst target range

Buy
0 (0%)
Hold
1 (33%)
Sell
2 (67%)

Wall Street analyst coverage shows a consistently bullish sentiment, with recent ratings from RBC Capital, Citigroup, and Wells Fargo all maintaining 'Outperform', 'Buy', or 'Overweight' equivalents. However, specific consensus target price data is not available from the provided inputs. The analyst revenue estimate for the upcoming period averages $234 million.

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AD Technical Analysis

Overall Assessment: The stock has experienced significant volatility over the past six months, with a sharp rally in January 2026 followed by a dramatic sell-off. The price has declined 8.46% over the last six months and is down 39.66% year-over-year, significantly underperforming the broader market. Short-term Performance: The stock has declined 5.91% over the past month, which is a better performance than the S&P 500's 7.87% drop. However, it has fallen 14.79% over the last three months, underperforming the S&P 500's 7.32% decline. Current Position: The current price of $45.85 is much closer to its 52-week low of $44.03 than its high of $79.17, trading near the bottom of its annual range. The price has been in a downtrend since the peak of $60.28 on January 22, 2026.

Beta

0.09

0.09x market volatility

Max Drawdown

-41.6%

Largest decline past year

52-Week Range

$44-$79

Price range past year

Annual Return

-39.7%

Cumulative gain past year

PeriodAD ReturnS&P 500
1m-5.9%-7.9%
3m-14.8%-7.3%
6m-8.5%-5.6%
1y-39.7%+13.0%
ytd-15.1%-7.3%

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AD Fundamental Analysis

Revenue & Profitability: The company's most recent quarterly revenue of $60.3 million for Q4 2025 represents a 93.8% year-over-year decline, reflecting the sale of its wireless operations. The net income for that quarter was $40.4 million, but this was heavily influenced by non-operating income, as the operating margin was -30.2%. Financial Health: The debt-to-equity ratio is a moderate 0.67, indicating manageable leverage. The current ratio is 0.72, which is below 1, suggesting potential short-term liquidity constraints. However, the company generated $169.6 million in free cash flow over the trailing twelve months. Operational Efficiency: Return on Equity (ROE) is 11.33%, which is positive, but Return on Assets (ROA) is negative at -0.41%, indicating the company is not efficiently generating profits from its asset base post-transformation.

Quarterly Revenue

$60329000.0B

2025-12

Revenue YoY Growth

-0.93%

YoY Comparison

Gross Margin

+0.41%

Latest Quarter

Free Cash Flow

$169636000.0B

Last 12 Months

Revenue & Net Income Trends (2 Years)

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Valuation Analysis: Is AD Overvalued?

Valuation Level: Given the company's positive net income in the latest quarter, the trailing P/E ratio of 15.8 is the primary valuation metric. This suggests a moderate valuation relative to earnings. However, the forward P/E of 109.2 is extremely high, reflecting uncertainty about future earnings post-transformation. Peer Comparison: Data not available for a direct industry average comparison. The company's Price-to-Sales ratio is very high at 28.3, and its EV/EBITDA is negative, making traditional valuation comparisons challenging during this transitional phase.

PE

15.8x

Latest Quarter

vs. Historical

Low-End

5-Year PE Range -43x~267x

vs. Industry Avg

N/A

Industry PE ~N/A*

EV/EBITDA

-6407.4x

Enterprise Value Multiple

Investment Risk Disclosure