tel stock — TE Connectivity (NYSE: TEL)
TEL (NYSE: TEL) — TE Connectivity plc
tel stock refers to the New York Stock Exchange ticker for TE Connectivity plc, a global manufacturer of connectivity and sensor solutions that serves automotive, industrial, communications and other end markets. This article explains what tel stock represents, TE Connectivity’s business model, recent financial performance, trading and valuation data, ownership and analyst coverage, risks investors should consider, and practical notes on how to trade TEL. Readers will gain a neutral, data-driven view suitable for beginning investors and market researchers.
Note: this page focuses on tel stock as the NYSE equity for TE Connectivity. "TEL" can also appear in other contexts (for example, crypto tickers), but those are not covered here.
As of Jan 27, 2026, per Benzinga and related market reports, TE Connectivity (tel stock) traded at about $232.03 with a market capitalization near $68.11 billion; longer-term performance metrics and the latest quarterly results are summarized below with source attributions.
Disambiguation
- "tel stock" in this article denotes the NYSE-listed equity of TE Connectivity plc (ticker: TEL).
- Other uses of the symbol TEL (for example, token tickers in crypto markets) exist but are outside the scope of this article.
Company overview
TE Connectivity is a global technology and manufacturing company focused on connectivity and sensor solutions. Founded through the consolidation and evolution of several legacy connectivity businesses, TE Connectivity operates worldwide with manufacturing, engineering and sales networks across Europe, North America, Latin America and the Asia–Pacific region.
- Headquarters: Corporate registration in Ireland with major operational presence in the United States and global sites.
- Scale: TE Connectivity is a multi‑billion dollar enterprise with tens of thousands of employees globally and operations spanning numerous countries and manufacturing facilities.
- Mission: To enable a more connected, sustainable and safer world by delivering components and systems used in vehicles, industrial equipment, data communications, medical devices and other applications.
Business segments and products
TE Connectivity’s business is organized around end markets and product families focused on electrical connectivity and sensor technologies. Core segments and product examples include:
- Transportation Solutions: Connectors, sensors and electronic components for automotive, commercial vehicle and off-highway applications. Products include high-reliability connectors for EVs, sensor modules, and robust cabling solutions.
- Industrial Solutions: Connectors, relays, circuit protection, cable assemblies and custom interconnect systems for factory automation, power distribution, renewable energy and heavy equipment.
- Communications and Consumer Solutions: RF connectors and antenna systems, fiber-optic interconnects, and components for data centers, telecom equipment and consumer electronics.
Products commonly supplied by TE include board-to-board and wire-to-board connectors, automotive sensors (position, temperature, pressure), antenna systems, cable assemblies, protection devices and increasingly integrated modules that combine sensing, connectivity and signal conditioning.
Stock listing and identifiers
- Ticker symbol: TEL
- Exchange: New York Stock Exchange (NYSE)
- Primary listing: Ordinary shares listed on the NYSE under the symbol TEL.
- Sector/industry classification: Industrials / Electrical Components & Equipment (connectivity & sensors).
- Index inclusion: TEL is often included in broad market indices and sector benchmarks; inclusion status can vary with index reconstitutions.
(For ISIN, CUSIP and exact listing class details consult the company’s investor relations or exchange filings; market-data platforms list up-to-date identifiers.)
Trading data and historical price performance
tel stock has delivered substantial long-term returns, reflecting TE Connectivity’s mix of industrial exposure, diversification across end markets, and steady cash generation.
- Long-term performance snapshot: As of Jan 27, 2026, Benzinga reported that TE Connectivity (tel stock) produced an average annual return of 13.21% over the past 15 years and outperformed the market by about 1.49% on an annualized basis during that period. Benzinga noted that a $100 investment in TEL 15 years ago would be worth approximately $626.28 today, based on the price of $232.03 at the reporting time.
- Current price and market cap (example snapshot): As of Jan 27, 2026, tel stock price cited at $232.03 with market capitalization roughly $68.11 billion (Benzinga). Intraday and after-hours trading behavior can result in small price differences; always check timestamped data.
Typical trading characteristics
- Liquidity: TEL trades with significant daily volume on the NYSE, reflecting broad institutional and retail interest. Average volume figures change over time; consult live-market data for current average daily volume.
- Volatility: As an industrial/technology supplier with exposure to cyclical end markets (especially automotive), tel stock exhibits periods of elevated volatility around cyclical shifts, earnings releases and macroeconomic news.
- Historical moves: TEL has shown multi-year appreciation alongside broader industrial recovery cycles and secular trends such as vehicle electrification, which increased demand for connectivity and sensor content per vehicle.
Key market statistics and valuation metrics
As valuations fluctuate with market conditions, here are common statistics investors review (reporting sources vary):
- Market capitalization: ~ $68.11 billion (as of Jan 27, 2026; Benzinga).
- Price example: $232.03 (as of Jan 27, 2026; Benzinga).
- Long-term return rates: 15-year annualized return ~13.21% (Benzinga).
Other frequent metrics (trailing P/E, forward P/E, EPS, price-to-sales, price-to-book, beta) are provided by major data vendors (Yahoo Finance, Morningstar, Zacks, Nasdaq) and change daily. For time-sensitive ratios, rely on a timestamped market-data source.
Financial performance
TE Connectivity reports quarterly and annual financial results that illustrate revenue growth, margins and cash generation trends. Below is a fact-based summary of recent reported performance.
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Recent quarter (fiscal first quarter): As of Jan 27, 2026, TE Connectivity reported fiscal first-quarter results showing net income of $750 million. On a per-share basis, reported net income equated to $2.53 per share; adjusted EPS (excluding amortization and restructuring) was $2.72 per share, which beat the average analyst estimate of $2.54 per share (Zacks). Reported revenue for the quarter was $4.67 billion, also beating the consensus expectation of $4.51 billion. For the current quarter ending in March, the company provided an EPS expectation of $2.65 and revenue guidance around $4.7 billion (AP/Zacks reporting).
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Revenue and margin trends: Over multi-year periods, TE Connectivity’s revenues reflect demand cycles in automotive and industrial markets as well as the impact of design wins in new vehicle programs and industrial investments. Margins can be influenced by product mix (higher-margin sensors and modules versus commodity connectors), manufacturing efficiencies and material cost trends.
Quarterly and annual results — how to interpret recent quarters
- Beats and misses: The cited quarter beat analyst revenue and EPS estimates, signaling execution on sales and cost management in that period (Zacks/AP). Investors often focus on whether beats are driven by organic growth, acquisitions, pricing, or one-time items.
- Guidance and outlook: The company’s forward guidance (EPS and revenue ranges) is a key input for market responses; management commentary about orders, book-to-bill ratios and design-win momentum is used to assess sustainability of growth.
(Source: AP/Zacks reporting on TE Connectivity quarterly results; see References and data sources below for attribution.)
Dividends and shareholder returns
TE Connectivity has a history of returning capital to shareholders through dividends and share repurchases.
- Dividend policy: TE Connectivity typically pays a regular dividend. The exact dividend amount, yield and payment dates vary; investors should check the company’s official investor relations releases for ex-dividend dates and payout amounts.
- Buybacks: The company has engaged in share repurchase programs at times, supplementing dividend returns depending on capital allocation priorities and balance-sheet capacity.
Dividend yield, payout ratio and buyback authorization figures change over time; consult the most recent quarterly report or investor presentation for precise, current values.
Ownership and insider activity
Institutional investors often hold a meaningful portion of tel stock. Market data providers and filings track institutional ownership levels and notable insider transactions.
- Institutional ownership: Major data platforms report substantial institutional ownership in TEL, reflecting fundamental investors such as funds, asset managers and ETFs that include industrial or technology exposure. The precise institutional ownership percentage and largest holders are updated in regulatory filings.
- Insider transactions: MarketBeat and other trackers publish disclosure of insider purchases and sales. Significant insider purchases or sales can attract investor attention but should be analyzed in the context of corporate events, compensation plans and portfolio allocation.
(For validated, timestamped ownership tables and a list of top institutional holders, review the latest SEC filings and data-provider snapshots.)
Analyst coverage and market sentiment
TEL is covered by multiple sell-side and independent research analysts. Coverage typically includes ratings (buy/hold/sell or equivalent), target prices and earnings estimates.
- Consensus: Analyst consensus and price targets are aggregated by services such as Morningstar, Zacks and MarketBeat. Ratings and targets change with new financial results and company guidance.
- Recent notes: Following quarterly beats or notable guidance shifts, analysts may adjust estimates or issue notes highlighting design-win momentum, margin outlook, or exposure to automotive electrification trends.
Because analyst views evolve rapidly, consult timestamped research summaries for the latest consensus and rating breakdowns.
Recent news and events
Several recent developments are relevant to tel stock investors (with sources and dates cited where applicable):
- 15-year performance analysis and market-cap snapshot: As of Jan 27, 2026, Benzinga reported that TE Connectivity (tel stock) had a 15-year average annual return of 13.21% and a market capitalization near $68.11 billion. The same Benzinga piece calculated that $100 invested 15 years ago in TEL would be worth roughly $626.28 today (Benzinga, Jan 27, 2026).
- Fiscal first-quarter results: As of Jan 27, 2026, AP (using Zacks data) reported that TE Connectivity posted fiscal first-quarter net income of $750 million, with reported EPS of $2.53 and adjusted EPS of $2.72, beating analyst estimates. Revenue for the quarter was $4.67 billion, above the consensus of $4.51 billion. The company provided EPS and revenue expectations for the upcoming quarter (AP/Zacks, Jan 27, 2026).
Investors monitor such developments because they speak directly to topline demand, margin trends and management’s near-term outlook.
Competitors and peer comparison
TE Connectivity operates in a competitive landscape that includes companies producing interconnects, sensors and related components. Comparable firms often mentioned in peer sets include large diversified connector and sensor makers as well as contract manufacturers and component suppliers.
Representative peers (for benchmarking purposes) include large component manufacturers and diversified electronic suppliers. When comparing tel stock to peers, analysts typically look at revenue growth, gross and operating margins, R&D intensity, capital expenditure levels and valuation multiples (P/E, EV/EBITDA, price-to-sales).
For a data-driven peer comparison, consult recent analyst reports and market-data platforms that provide standardized metric tables (revenue, margins, growth rates, valuation multiples) with timestamps.
Risks and controversies
Investors in tel stock should be aware of several categories of risk:
- End-market cyclicality: Significant exposure to automotive and industrial customers means revenues can ebb and flow with vehicle production cycles, industrial investment cycles and economic expansions/contractions.
- Supply-chain and raw-material risk: Manufacturing of connectors and sensors relies on global supply chains; disruptions, component shortages or commodity-price swings can affect costs and delivery performance.
- Customer concentration and program risk: Large customers and multi-year vehicle programs create concentration risk; delays, cancellations or lower-than-expected content per vehicle can impact revenue and margin projections.
- Technological change and competition: Rapidly evolving requirements in EVs, autonomy, 5G and data-center networking require ongoing R&D investment and can shift competitive dynamics.
No material governance controversies or systemic security incidents were cited in the recent reporting used to compile this article. For the latest risk disclosures, refer to the company’s annual reports and SEC filings.
How to trade TEL
Practical notes for investors considering tel stock:
- Trading venues: TEL is listed on the NYSE under the symbol TEL. For investors using centralized exchanges or brokerages, search for TEL on your chosen platform. If you are a user of Bitget, TEL may be available for trading according to Bitget’s equities product offerings — check Bitget’s market listings for availability.
- Order types: Common order types for TEL include market orders, limit orders, stop-loss or stop-limit orders. Use limit orders to control execution price, especially in volatile markets.
- Liquidity considerations: TEL is a widely traded stock with meaningful volume; however, monitor intraday spreads and volume before placing large orders.
- Tax and regulatory notes: Equity investments are subject to local tax rules on dividends, short-term and long-term capital gains. Consult a tax professional for personalized guidance. This article is informational and not tax or investment advice.
Note: For Web3 wallet use and custody of digital assets (when relevant to other tickers or tokenized equities), Bitget Wallet is recommended where applicable; for traditional equities like tel stock, use regulated brokerage services that provide access to NYSE-listed securities.
Historical timeline (selected investor-relevant milestones)
- Foundational years: TE Connectivity’s corporate identity reflects a history of legacy businesses in connectors and interconnect systems that consolidated over decades.
- Strategic portfolio shifts: Over time, the company pivoted to focus more on high-reliability connectors, sensor integration and targeted acquisitions to expand its technology capabilities and global footprint.
- Recent quarters (2025–2026): Reported fiscal results with quarterly beats and guidance updates (see AP/Zacks reporting dated Jan 27, 2026) indicating ongoing revenue and EPS performance consistent with management expectations for the period.
For a full corporate timeline with dates of major acquisitions, spin-offs and capital returns, consult TE Connectivity’s investor relations materials and SEC filings.
See also
- TE Connectivity investor relations and corporate information
- Basic stock market terms (market capitalization, EPS, P/E ratio)
- Peer company profiles and sector overviews
- TEL disambiguation (other uses of the ticker symbol)
References and data sources
Primary data sources used to prepare this article include:
- Benzinga (15-year performance, market-cap and price snapshot; cited Jan 27, 2026)
- Associated Press (AP) and Zacks Investment Research (fiscal first-quarter results summary; cited Jan 27, 2026)
- Yahoo Finance, Morningstar, MarketBeat, CNN Markets, NYSE, Nasdaq and Zacks (data and profile references)
All reported numeric values in this article include source attributions. For live market quotes, valuation ratios and ownership tables, consult timestamped data provided by the platforms above or the company’s official filings.
Practical notes and reading next steps
- If you are researching tel stock, review the company’s latest SEC filings (10-Q, 10-K), investor presentations and earnings-call transcripts to validate the latest guidance, capital allocation priorities and design-win progress.
- For trading TEL through an exchange or broker, compare execution costs and account types; Bitget offers equity trading products and custody services — visit Bitget’s platform to check TEL availability and execution features.
Further exploration: check the most recent quarterly presentation, read analyst notes from recognized research providers, and monitor macroeconomic indicators that influence automotive and industrial demand.
Editorial and compliance notes
- This article is neutral and for informational purposes only. It does not constitute investment advice, a recommendation to buy or sell tel stock, or tax guidance.
- Data points are time-stamped within the text and attributed to named public sources (Benzinga, AP, Zacks and major market-data platforms). For any trading decision, rely on the most recent, timestamped market data and filings.
Thank you for reading. To explore trading and custody options for equities and to manage assets with a dedicated crypto wallet where relevant, consider Bitget’s platform and Bitget Wallet for your account and custody needs.






















