61/120
2.5 / 5 stars
All 120 Win/Lose results shown below
A Roast Me summary
AGILENT TECHNOLOGIES, INC. (A). Every strict quarterly win earns 1 point. A loss, tie, or unavailable scoring value earns 0.
- 2026-Q2: Total return Win; Revenue growth Lose; EPS growth Lose.
- 2026-Q1: Total return Lose; Revenue growth Lose; EPS growth Lose.
- 2025-Q4: Total return Win; Revenue growth Lose; EPS growth Lose.
- 2025-Q3: Total return Win; Revenue growth Lose; EPS growth Lose.
Trailing 1 year (4 quarters): 3 wins, 9 lossesLast fetched: 25 Sept 2026
Complete point ledger
Each cell identifies the missing side explicitly.
| Quarter | Total return | Revenue growth | EPS growth |
|---|---|---|---|
| 2026-Q21/3 |
WinA / S&P 16.76% / 15.20% |
LoseA / S&P 9.11% / 15.00% |
LoseA / S&P 22.41% / 50.40% |
| 2026-Q10/3 |
LoseA / S&P -15.89% / -4.33% |
LoseA / S&P 8.14% / 11.30% |
LoseA / S&P 3.67% / 27.70% |
| 2025-Q41/3 |
WinA / S&P 6.01% / 2.65% |
LoseA / S&P 6.73% / 9.00% |
LoseA / S&P 3.16% / 13.40% |
| 2025-Q31/3 |
WinA / S&P 9.21% / 8.12% |
LoseA / S&P 4.48% / 4.61% |
LoseA / S&P -11.23% / 13.45% |
| 2025-Q20/3 |
LoseA / S&P 1.09% / 10.94% |
LoseA / S&P 0.56% / 4.83% |
LoseA / S&P -3.79% / 10.63% |
| 2025-Q10/3 |
LoseA / S&P -12.92% / -4.27% |
LoseA / S&P -3.00% / 4.98% |
LoseA / S&P 4.06% / 10.57% |
| 2024-Q40/3 |
LoseA / S&P -9.21% / 2.41% |
LoseA / S&P -4.73% / 5.25% |
LoseA / S&P 5.73% / 6.15% |
| 2024-Q32/3 |
WinA / S&P 14.75% / 5.89% |
LoseA / S&P -7.11% / 5.89% |
WinA / S&P 25.59% / 6.11% |
| 2024-Q20/3 |
LoseA / S&P -10.77% / 4.28% |
LoseA / S&P -6.38% / 5.38% |
LoseA / S&P -7.25% / 5.12% |
| 2024-Q10/3 |
LoseA / S&P 4.66% / 10.56% |
LoseA / S&P -2.81% / 5.71% |
LoseA / S&P -5.63% / 5.59% |
| 2023-Q41/3 |
WinA / S&P 24.80% / 11.69% |
LoseA / S&P -0.22% / 6.81% |
LoseA / S&P 0.24% / 7.78% |
| 2023-Q30/3 |
LoseA / S&P -7.01% / -3.27% |
LoseA / S&P 5.03% / 7.52% |
LoseA / S&P -12.56% / -5.03% |
| 2023-Q21/3 |
LoseA / S&P -12.77% / 8.74% |
LoseA / S&P 7.86% / 9.50% |
WinA / S&P 9.90% / -8.57% |
| 2023-Q11/3 |
LoseA / S&P -7.56% / 7.50% |
LoseA / S&P 7.53% / 10.77% |
WinA / S&P 12.98% / -15.69% |
| 2022-Q42/3 |
WinA / S&P 23.52% / 7.56% |
LoseA / S&P 8.37% / 11.88% |
WinA / S&P 6.09% / -17.99% |
| 2022-Q32/3 |
WinA / S&P 2.52% / -4.88% |
LoseA / S&P 8.42% / 13.47% |
WinA / S&P 36.87% / -1.41% |
| 2022-Q22/3 |
WinA / S&P -10.11% / -16.10% |
LoseA / S&P 12.21% / 13.71% |
WinA / S&P 38.93% / 11.04% |
| 2022-Q12/3 |
LoseA / S&P -17.00% / -4.60% |
WinA / S&P 16.55% / 15.97% |
WinA / S&P 51.15% / 42.23% |
| 2021-Q41/3 |
LoseA / S&P 1.47% / 11.03% |
WinA / S&P 18.36% / 15.00% |
LoseA / S&P 71.30% / 96.40% |
| 2021-Q32/3 |
WinA / S&P 6.72% / 0.58% |
WinA / S&P 17.60% / 10.77% |
LoseA / S&P 44.14% / 69.42% |
| 2021-Q22/3 |
WinA / S&P 16.43% / 8.55% |
WinA / S&P 11.10% / 6.58% |
LoseA / S&P 36.70% / 51.81% |
| 2021-Q12/3 |
WinA / S&P 7.48% / 6.17% |
WinA / S&P 5.61% / -1.06% |
LoseA / S&P 7.00% / 7.39% |
| 2020-Q43/3 |
WinA / S&P 17.60% / 12.15% |
WinA / S&P 3.41% / -3.72% |
WinA / S&P -31.75% / -33.42% |
| 2020-Q32/3 |
WinA / S&P 14.22% / 8.93% |
WinA / S&P 2.61% / -2.04% |
LoseA / S&P -33.53% / -27.10% |
| 2020-Q22/3 |
WinA / S&P 23.65% / 20.54% |
WinA / S&P 4.32% / -0.46% |
LoseA / S&P -37.18% / -27.11% |
| 2020-Q12/3 |
WinA / S&P -15.83% / -19.60% |
WinA / S&P 4.99% / 3.47% |
LoseA / S&P -31.16% / -14.75% |
| 2019-Q42/3 |
WinA / S&P 11.56% / 9.07% |
LoseA / S&P 5.07% / 5.36% |
WinA / S&P 247.42% / 2.99% |
| 2019-Q33/3 |
WinA / S&P 3.07% / 1.70% |
WinA / S&P 5.84% / 5.02% |
WinA / S&P 267.03% / 0.21% |
| 2019-Q21/3 |
LoseA / S&P -6.91% / 4.30% |
LoseA / S&P 6.33% / 6.64% |
WinA / S&P 381.94% / 8.65% |
| 2019-Q12/3 |
WinA / S&P 19.15% / 13.65% |
LoseA / S&P 8.04% / 8.12% |
WinA / S&P 498.31% / 14.29% |
| 2018-Q42/3 |
WinA / S&P -3.93% / -13.52% |
WinA / S&P 9.88% / 9.05% |
LoseA / S&P -53.81% / 18.23% |
| 2018-Q31/3 |
WinA / S&P 14.34% / 7.71% |
LoseA / S&P 9.44% / 10.21% |
LoseA / S&P -53.09% / 19.06% |
| 2018-Q21/3 |
LoseA / S&P -7.36% / 3.43% |
WinA / S&P 9.16% / 9.03% |
LoseA / S&P -59.55% / 14.46% |
| 2018-Q12/3 |
WinA / S&P -0.10% / -0.76% |
WinA / S&P 8.84% / 7.68% |
LoseA / S&P -62.18% / 12.46% |
| 2017-Q41/3 |
LoseA / S&P 4.76% / 6.64% |
LoseA / S&P 6.43% / 7.03% |
WinA / S&P 50.00% / 13.82% |
| 2017-Q33/3 |
WinA / S&P 8.24% / 4.48% |
WinA / S&P 6.50% / 5.68% |
WinA / S&P 34.72% / 17.57% |
| 2017-Q23/3 |
WinA / S&P 12.43% / 3.09% |
WinA / S&P 5.57% / 4.83% |
WinA / S&P 28.06% / 17.74% |
| 2017-Q13/3 |
WinA / S&P 16.33% / 6.07% |
WinA / S&P 4.98% / 3.67% |
WinA / S&P 13.87% / 13.32% |
| 2016-Q42/3 |
LoseA / S&P -2.97% / 3.82% |
WinA / S&P 4.06% / 2.09% |
WinA / S&P 16.67% / 7.05% |
| 2016-Q33/3 |
WinA / S&P 6.42% / 3.85% |
WinA / S&P 1.98% / 0.20% |
WinA / S&P 46.94% / -3.15% |
Dividend-reinvested, split-adjusted total return
1Y · 2025-08-29 to 2026-08-28
| Metric | A total return | S&P 500 Total Return Index |
|---|---|---|
| Total return | 23.45% | 20.78% |
| Annualized return | 23.45% | 20.78% |
5Y · 2021-09-01 to 2026-08-28
| Metric | A total return | S&P 500 Total Return Index |
|---|---|---|
| Total return | -9.11% | 83.14% |
| Annualized return | -1.89% | 12.86% |
10Y · 2016-09-01 to 2026-08-28
| Metric | A total return | S&P 500 Total Return Index |
|---|---|---|
| Total return | 254.25% | 319.30% |
| Annualized return | 13.48% | 15.41% |
Calculation rules
- window
- Latest 40 completed benchmark quarters; unavailable issuer evidence remains visible and scores 0.
- return Basis
- Issuer adjusted close reinvests distributions and normalizes splits; the S&P 500 Total Return Index is the direct benchmark.
- point Rule
- Strict same-quarter win = 1. Loss, tie or unavailable evidence = 0. No partial or subjective points.
- frequency
- Quarter endpoints only.
- fundamentals
- Trailing-four-quarter issuer revenue and EPS growth use the issuer's normalized government-filed facts.
- non Scoring
Snapshot captured 2026-09-25.
Similar stocks
| Stock Name | Country | Market Cap | PE Ratio |
|---|---|---|---|
| WATERS CORP /DE/ (WAT) | United States | $42.297B | 224.28 |
| ILLUMINA, INC. (ILMN) | United States | $41.357B | 32.37 |
| METTLER TOLEDO INTERNATIONAL INC/ (MTD) | $30.436B | 30.62 | |
| REVVITY, INC. (RVTY) | United States | $16.814B | 53.44 |
| Avantor, Inc. (AVTR) | United States | $10.501B | -9.72 |
| BRUKER CORP (BRKR) | United States | $9.706B | -128.75 |
| Alamar Biosciences, Inc. (ALMR) | United States | $2.300B | |
| Cytek Biosciences, Inc. (CTKB) | United States | $0.744B | -7.15 |
| PACIFIC BIOSCIENCES OF CALIFORNIA, INC. (PACB) | United States | $0.491B | -3.95 |
| 908 Devices Inc. (MASS) | United States | $0.476B | -9.53 |