How Does Axon Enterprise Stock Compare With Peers?

AXON: Axon Enterprise logo
AXON
Axon Enterprise

Axon‘s stock fell 14% over the past year, yet it operates in a public safety tech market seeing robust growth driven by AI and IoT adoption. While its 32% LTM revenue growth is strong, indicating significant expansion as a holistic tech partner, Axon faces challenges with a negative LTM operating margin of -1.08% and a very high 167.71 PE ratio. This points to a premium valuation for a growth-focused company, with profitability lagging in the short term.

  • AXON’s -1.1% operating margin trails MSI (25.1%), reflecting heavy investment for market leadership in public safety tech solutions.
  • AXON’s 32.0% revenue growth, outpacing peers, shows robust demand for its integrated public safety tech, but trails BYRN’s less-lethal market.
  • AXON’s 13.8% stock drop and 167.7 PE suggest market skepticism on its high valuation despite growth, as peers MSI, CDRE, WRAP outperformed.

Here’s how Axon Enterprise stacks up across size, valuation, and profitability versus key peers.

  AXON MSI TYL CDRE BYRN WRAP
Market Cap ($ Bil) 43.1 67.6 18.1 1.6 0.3 0.1
Revenue ($ Bil) 2.6 11.1 2.3 0.6 0.1 0.0
PE Ratio 167.7 31.9 57.3 36.1 20.7 -9.1
LTM Revenue Growth 32.0% 6.4% 10.6% 19.9% 51.0% -2.3%
LTM Operating Margin -1.1% 25.1% 15.4% 13.7% 10.8% -342.9%
LTM FCF Margin 5.7% 21.5% 26.1% 9.9% -10.0% -220.4%
12M Market Return -13.8% -12.0% -32.4% 3.6% -52.7% 19.8%

For more details on Axon Enterprise, read Buy or Sell AXON Stock. Below we compare AXON’s growth, margin, and valuation with peers across years

Revenue Growth Comparison

Relevant Articles
  1. Is the Market Overlooking Paychex Stock’s Next Move?
  2. Could Cash Machine Accenture Stock Be Your Next Buy?
  3. Silicon Laboratories Stock To $142?
  4. Alphabet Stock To $299?
  5. Buy or Sell Merck Stock?
  6. Stronger Bet Than Norfolk Southern Stock: CP Delivers More

  LTM 2024 2023 2022
AXON 32.0% 33.4% 31.5% 37.5%
MSI 6.4% 8.4% 9.5% 11.5%
TYL 10.6% 9.5% 5.5% 16.2%
CDRE 19.9% 17.6% 5.4% 7.1%
BYRN 51.0% 101.1% -11.2% 13.9%
WRAP -2.3% -26.5% -23.8% 4.1%

Operating Margin Comparison

  LTM 2024 2023 2022
AXON -1.1% 2.8% 10.0% 7.8%
MSI 25.1% 24.9% 23.6% 19.1%
TYL 15.4% 14.0% 11.2% 11.6%
CDRE 13.7% 12.8% 12.2% 4.6%
BYRN 10.8% 7.8% -18.3% -16.1%
WRAP -342.9% -345.4% -305.3% -220.3%

PE Ratio Comparison

  LTM 2024 2023 2022
AXON 167.7 114.1 250.9 125.0
MSI 31.9 40.5 45.2 38.5
TYL 57.3 73.5 146.1 105.8
CDRE 36.1 45.1 31.4 204.1
BYRN 20.7 29.5 -77.1 -18.1
WRAP -9.1 -18.5 -3.0 -7.2

Still not sure about AXON stock? Consider portfolio approach.

Move Beyond Single Stocks With A Multi Asset Portfolio

Stocks soar and sink but bonds commodities and other assets balance the ride. A multi asset portfolio keeps returns steadier and reduces single market risk.

The asset allocation framework of Trefis’ Boston-based, wealth management partner yielded positive returns during the 2008-09 period when the S&P lost more than 40%. Our partner’ strategy now includes Trefis High Quality Portfolio, which has a track record of comfortably outperforming its benchmark that includes all 3 – the S&P 500, S&P mid-cap, and Russell 2000 indices