RF Industries, Ltd. (RFIL) Stock

RF Industries, Ltd. (RFIL) is a Technology stock trading at $11.24 (as of 2026-08-20), with a market capitalization of $122.02M and a trailing P/E of 101.8. Figures are sourced from first-party U.S. SEC EDGAR filings and market data.

RF Industries, Ltd. designs, manufactures, and sells interconnect products and systems, including coaxial connectors and cable assemblies, as well as custom copper and fiber cable assemblies, hybrid fiber optic and power solution cables, cooling systems, and custom small-cell enclosures. It operates through two segments and distributes products used in communications, computer/LAN, automotive, and medical equipment in the U.S., Canada, Mexico, and internationally.

Understand RF Industries, Ltd.: how it makes money

RF Industries designs, manufactures, and markets interconnect products and systems, including coaxial connectors and cable assemblies, plus custom cabling manufacturing and assembly, selling into customers that use these products in their applications.

The business is influenced by converting contract demand into completed work, tracked through Remaining Performance Obligations and Projects Supported.

Business quality (Weak): Good qualitative clarity on the two operating segments and the product categories, but the provided data does not include segment-level revenue values, limiting a segment-driven view of performance.

Valuation: At 165× earnings, RFIL trades 221% above the Semiconductors average (51×). Note: one-time items can distort reported P/E.

Bull case

  • Backlog visibility: Remaining Performance Obligations provides a view of work still to be delivered, which can support near-term revenue conversion.
  • Activity signals from live work: Projects Supported indicates an ongoing base of customer projects that the company is supporting, aligning with its manufacturing and assembly activities.

Bear case

  • Backlog conversion risk: If Remaining Performance Obligations declines or is not converted into delivered revenue, future results could be pressured.
  • Product mix and customer demand sensitivity: Microlab Products are tracked separately in the provided metrics, suggesting performance may be sensitive to demand or timing for that product line.
Valuation — source: SEC EDGAR (first-party)
Price$11.24
Market Cap$122.02M
P/E Ratio101.8
EV / EBITDA25.2
Price / Book3.31
Price / Sales1.48
FCF Yield1.5%
DCF Value (model)$1.14
DCF Upside vs Price-89.9%
Profitability & Growth — source: SEC EDGAR
Revenue (TTM)$80.59M
Net Margin0.1%
Revenue Growth (YoY)9.4%
EPS Growth (YoY)-500.0%
FCF Growth (YoY)-113.8%
Financial Health — source: SEC EDGAR
Altman Z-Score3.46 (safe)
Valuation vs Sector & Industry
Stock P/E101.8
Sector P/E (Technology)33.9
Industry P/E (Electronic Equipment)39.4
vs Sector199.9%
vs Industry158.4%
Smart-Money Activity — SEC Form 4 / 13F / Congressional disclosures
Top Institutional HolderPUNCH & ASSOCIATES INVESTMENT MANAGEMENT, INC. ($8.48M)
Institutional Holders Tracked10
Company
SectorTechnology
IndustryElectronic Equipment
CEORobert D. Dawson
Employees302
CountryUS
IPO Date1994-04-06

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RFIL earnings history · RFIL institutional & insider holders · RFIL KPIs & operating metrics · RFIL financials · RFIL investor presentations & press releases · RFIL SEC filings · RFIL peers · Congress trades · Insider trades · Short interest · Stock screener

Data as of 2026-08-20.

Figures sourced from U.S. Securities and Exchange Commission (SEC EDGAR) filings and market data. Not personalized investment advice.