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Axon Enterprise, Inc. stock logo

Axon Enterprise, Inc.

AXON·NASDAQ

Last updated as of 2026-02-12 18:46 EST. Stock price information is sourced from TradingView and reflects real-time market prices.

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AXON stock price change

On the last trading day, AXON stock closed at 433.93 USD, with a price change of -0.12% for the day.
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AXON key data

Previous close433.93 USD
Market cap34.24B USD
Volume141.65K
P/E ratio137.36
Dividend yield (TTM)0.00%
Dividend amount-
Last ex-dividend date-
Last payment date-
EPS diluted (TTM)3.16 USD
Net income (FY)377.03M USD
Revenue (FY)2.08B USD
Next report dateMar 3, 2026
EPS estimate1.600 USD
Revenue estimate755.55M USD USD
Shares float74.80M
Beta (1Y)1.48
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Axon Enterprise, Inc. overview

Axon Enterprise, Inc. engages in the development, manufacture, and sale of conducted electrical weapons for personal defense. It operates through the TASER segment and Software and Sensors segment. The TASER segment sells conducted electrical weapons, accessories, and other related products and services. The Software and Sensors segment includes devices, wearables, applications, cloud, and mobile products. The company was founded by Patrick W. Smith and Thomas P. Smith on September 7, 1993 and is headquartered in Scottsdale, AZ.
Sector
Electronic technology
Industry
Aerospace & Defense
CEO
Patrick W. Smith
Headquarters
Scottsdale
Website
axon.com
Founded
1993
Employees (FY)
4.1K
Change (1Y)
+770 +23.12%
Revenue / Employee (1Y)
507.93K USD
Net income / Employee (1Y)
91.96K USD

AXON Pulse

Daily updates on AXON stock prices, fund flows, and market news, generated by AI and reviewed by our team of analysts. Always DYOR.

• AXON Stock Price 24h change: -2.80%. From 446.97 USD to 434.45 USD. The decline was driven by broader market weakness and investor caution ahead of the February 24 earnings report, where EPS is expected to drop 19.7% YoY despite strong revenue growth.
• From a technical perspective, AXON is in a "short-term bearish, long-term oversold" phase. The price is currently below its 20-day, 50-day, and 200-day moving averages (SMA 200 is at ~551), indicating a strong downtrend. However, an RSI of 28.14 and a low Stochastic value (8.78) suggest the stock is in oversold territory and may be due for a technical bounce.
• Axon officially announced it will release its fourth-quarter 2025 earnings results on February 24, 2026, with analysts focusing on the 31% projected revenue growth versus a decline in net income.
• Syracuse Common Council recently voted to install Axon readers despite local pushback, signaling continued domestic demand for the company’s law enforcement technology ecosystem.
• Institutional activity shows mixed sentiment, as Rhumbline Advisers increased its stake by 1.8%, while other funds like Bessemer Group and Advisors Asset Management trimmed positions amid valuation concerns.
• The U.S. Air Force selected Boeing to update the flight deck of the C-17 Globemaster III, reflecting ongoing modernization efforts within the broader defense and aerospace sector.
• SpaceX shifted its strategic focus to develop an independent lunar program, while defense firms like Raytheon and L3Harris are ramping up production for standoff weapons and interceptors under new Pentagon agreements.
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about 7h ago
• AXON Stock Price 24h change: +1.35%. From 433.77 USD to 439.80 USD.
The price jump was driven by persistent strength in the "Connected Devices" segment and robust demand for TASER products, following a period of valuation-led sell-offs.
• From a technical perspective, AXON is in a recovery phase after a significant ~30% pullback from its 52-week high of $885.91. The Relative Strength Index (RSI) recently touched oversold territory, attracting value buyers near the $400 support level, though it remains below its 50-day ($566) and 200-day ($655) moving averages, indicating short-term bearishness within a long-term uptrend.
• Axon announced it will report Q4 2025 financial results on February 24, 2026, with analysts watching for margin stabilization after recent heavy R&D reinvestment.
• In February 2026, Axon redeemed its 0.5% convertible notes due 2027 at 100% principal, a move to simplify its capital structure and reduce shareholder dilution.
• The Department of Homeland Security (DHS) began a nationwide rollout of body-worn cameras for agents, starting in Minnesota, significantly expanding Axon's federal market opportunity.
• Lockheed Martin partnered with Saudi Arabia’s Pioneers Technical Systems to establish the Kingdom's first PAC-3 missile defense ground depot to enhance regional air defense.
• General Atomics was selected by the U.S. Marine Corps for the Collaborative Combat Aircraft (CCA) program, reflecting a shift toward uncrewed autonomous systems in defense.
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about 1D ago

AXON stock price forecast

According to technical indicators for AXON stock, the price is likely to fluctuate within the range of 513.68–552.99 USD over the next week. Market analysts predict that the price of AXON stock will likely fluctuate within the range of 420.52–598.72 USD over the next months.

Based on 1-year price forecasts from 62 analysts, the highest estimate is 865.99 USD, while the lowest estimate is 361.32 USD.

For more information, please see the AXON stock price forecast Stock Price Forecast page.

Latest AXON stock news

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FAQ

What is the stock price of Axon Enterprise, Inc.?

AXON is currently priced at 433.93 USD — its price has changed by -0.12% over the past 24 hours. You can track the stock price performance of Axon Enterprise, Inc. more closely on the price chart at the top of this page.

What is the stock ticker of Axon Enterprise, Inc.?

Depending on the exchange, the stock ticker may vary. For instance, on NASDAQ, Axon Enterprise, Inc. is traded under the ticker AXON.

What is the stock forecast of AXON?

We've gathered analysts' opinions on Axon Enterprise, Inc.'s future price. According to their forecasts, AXON has a maximum estimate of 4339.30 USD and a minimum estimate of 867.86 USD.

What is the market cap of Axon Enterprise, Inc.?

Axon Enterprise, Inc. has a market capitalization of 34.24B USD.

What is P/E ratio (TTM)?

The P/E ratio (TTM) stands for price-to-earnings ratio (trailing twelve months). It is a historical valuation metric calculated using a company's earnings per share (EPS) over the most recent twelve consecutive months, reflecting the company's past profitability.

The P/E ratio measures the relationship between a stock's price and a company's profitability, and is often used as a basis for judging whether a stock is "cheap" or "expensive."

P/E ratio = market price (P) ÷ earnings per share (EPS), or P/E ratio = total market capitalization ÷ net profit attributable to shareholders

The interpretation of the P/E ratio (TTM) should always be considered alongside other factors and is mainly used for valuation comparisons rather than as a standalone indicator.

  • A lower P/E ratio (TTM) means investors are paying less for each unit of earnings. This may indicate that the stock is undervalued, or that the market has limited expectations for the company's future growth, such as in mature or slow-growing industries.
  • A higher P/E ratio (TTM) means investors are paying more for each unit of earnings. This often reflects expectations of strong future earnings growth, which is common among growth or technology stocks, though it may also suggest the stock is overvalued.
  • Comparison with peers: Compare the company's P/E (TTM) with the average or median P/E of other companies in the same industry. A significantly higher P/E may require further analysis to determine whether the company's high valuation is justified by stronger growth prospects or competitive advantages.
  • Comparison with historical levels: Compare the company's current P/E (TTM) with its own historical average (such as over the past 5 or 10 years) to assess whether the current valuation is at a historical high or low.
  • Comparison with the broader market: Compare the company's P/E (TTM) with major market indices (such as the S&P 500) to see how the market is valuing the company overall.

P/E ratios can vary widely across industries, and there is no single "ideal" P/E level. A reasonable P/E range depends on the industry, the company's growth potential, and the broader macroeconomic environment. Investment decisions should not rely solely on the P/E ratio (TTM) but should be based on a comprehensive analysis that includes company quality, growth prospects, and financial health.

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Risk warning:

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Transaction fees:

Bitget offers limited-time fee promotions for stock perps (especially tokenized stock perps) from time to time to attract traders.

Standard reference rates: Under Bitget's standard futures fee structure, the taker fee is typically around 0.06%, while the maker fee is around 0.02%.

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Funding rate:

The funding rate is a key mechanism in perpetual futures (including stock perps) that helps keep the futures price closely aligned with the spot price of the underlying asset. It is not a fee charged by the platform, but a periodic payment exchanged between long and short traders.

Funding rates fluctuate dynamically and are mainly driven by market sentiment and imbalances between long and short positions. Stock perps generally experience lower volatility than cryptocurrencies, so funding rates are often relatively low during stable market conditions. However, during earnings seasons or major positive or negative news events, heavy concentration of long or short positions—such as in high-growth technology stocks like Tesla or Nvidia—can create significant imbalances, causing funding rates to spike in the short term.

Funding payments are typically settled every 8 hours. If you close your position before the funding settlement time, no funding payment will be charged or received.

Funding rates are not fixed. If you hold a position for an extended period, high positive funding rates (for long positions) or high negative funding rates (for short positions) will affect your overall holding costs or potential returns. For this reason, it is important to monitor the funding rate in real time on the trading interface.

NASDAQ/
AXON