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Intel Corporation  (INTC)
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Customers by INTC's Divisions

(Most recent Quarter in Millions of $)



COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Intel Corporation INTC Mobility Group 2,512.0 1,221.0 48.61 %
Boeing Co BA Network Systems 2,127.0 245.0 11.52 %
Boeing Co BA Support Systems 2,172.0 281.0 12.94 %
Centurylink inc CTL Network access 2,332.0 0.0 -
Centurylink inc CTL Other 258.0 0.0 -
Centurylink inc CTL Data 142.0 0.0 -
Ciena Corp CIEN Total 602.9 169.5 28.11 %
Corning Inc GLW Telecommunications 800.0 77.0 9.63 %
Danaher Corporation DHR Professional Instrumentation 1,278.1 270.5 21.16 %
Dell Technologies Inc DELL Total 24,032.0 416.0 1.73 %
General Dynamics Corporation GD Information Systems Technology 2,370.0 217.0 9.16 %
Apple Inc AAPL iPhone & Related Products 31,368.0 0.0 -
Hp inc HPQ Enterprise Systems 7,007.0 912.0 13.02 %
Hp inc HPQ HP Services 4,976.0 297.0 5.97 %
Hp inc HPQ Total 14,603.0 1,179.0 8.07 %
International Business Machines Corporation IBM Hardware 1,492.0 -24.0 -
Lockheed Martin Corporation LMT Space Systems 1,930.0 232.0 12.02 %
Motorola Solutions inc MSI Personal Communications 2,420.0 72.0 2.98 %
Motorola Solutions inc MSI Global Telecom Solutions 2,244.0 337.0 15.02 %
Motorola Solutions inc MSI Broadband Communications 1,005.0 54.0 5.37 %
Qualcomm Inc QCOM Technology Licensing 1,785.0 1,487.0 83.31 %
Qualcomm Inc QCOM Wireless & Internet 42.0 -54.0 -
Raytheon Company RTN Integrated Defense Systems 1,533.0 212.0 13.83 %
Dell Technologies Inc DELL Mobility 3,618.0 0.0 -
Stanley Black and Decker Inc SWK Security solutions 512.0 60.8 11.88 %
Teradyne Inc TER Semiconductor Test Sys. 325.5 74.0 22.72 %
Verizon Communications Inc VZ Domestic Wireless Total 23,005.0 0.0 -
L3 Technologies, Inc. LLL C3ISR 516.0 12.0 2.33 %
Equillium Inc EQ Voice 916.0 0.0 -
Verizon Communications Inc VZ Wireline 9,355.0 0.0 -
Flir Systems Inc FLIR Commercial Vision Systems 65.4 17.6 26.87 %
Textron Inc TXT Defense & Intelligence 420.0 39.0 9.29 %
Atlantic Power Corporation AT Total 66.2 -63.4 -
Amphenol Corporation APH Cable Products 81.4 10.2 12.53 %
Te Connectivity ltd TEL Electronic Components 1,984.0 262.0 13.21 %
Te Connectivity ltd TEL Network Solutions 684.0 51.0 7.46 %
Frontier Communications Corp FTR Local services 494.8 0.0 -
Frontier Communications Corp FTR Access services 132.0 0.0 -
Sprint Corporation S Wireless Total 7,540.0 2,074.0 27.51 %
Sprint Corporation S Wireline Total 483.0 9.0 1.86 %
At andt Inc T Wireline 17,487.0 3,861.0 22.08 %
At andt Inc T Wireless Service 15,095.0 0.0 -
Comcast Corporation CMCSA Phone 900.0 0.0 -
Windstream Holdings, Inc. WIN Voice service 498.1 0.0 -
Juniper Networks Inc JNPR Infrastructure 925.4 0.0 -
Cisco Systems Inc CSCO Routers 1,793.0 0.0 -
Adtran Inc ADTN Total 115.8 -11.6 -
Te Connectivity ltd TEL Communications & Industrial Solutions 792.0 84.0 10.61 %
Te Connectivity ltd TEL Transportation Connectivity 1,508.0 272.0 18.04 %
Dell Technologies Inc DELL Storage 424.0 0.0 -
Flir Systems Inc FLIR Thermal Vision & Measurement 208.5 35.8 17.17 %
Motorola Solutions inc MSI Enterprise 600.0 57.0 9.5 %
Dell Technologies Inc DELL Business 11,522.0 1,014.0 8.8 %
Fortune Brands Home and Security inc FBHS Security & Storage 147.3 16.6 11.27 %
Adt Inc ADT Total 1,668.0 -72.0 -
Flir Systems Inc FLIR Instruments 90.3 28.3 31.4 %
Flir Systems Inc FLIR Security 60.0 7.9 13.11 %
Motorola Solutions inc MSI Products 867.0 171.0 19.72 %
Astronics Corporation ATRO Total 198.4 -34.1 -
Elbit Systems Ltd ESLT Total 4,508.4 228.7 5.07 %
Kratos Defense and Security Solutions inc KTOS Total 186.1 4.0 2.15 %
Preformed Line Products Co PLPC Total 113.6 5.6 4.93 %
Avnet Inc AVT Total 4,534.8 3.7 0.08 %
Optical Cable Corp OCC Total 12.9 -2.6 -
Belden Inc BDC Total 620.3 -297.0 -
Commscope Holding Company inc COMM Total 2,298.7 -436.7 -
Kaman Corporation KAMN Total -53.2 39.5 -
Exactus, Inc. SGYT Total 0.1 -1.8 -
Arotech Corp ARTX Total 23.6 -0.1 -
Avid Technology Inc AVID Total 116.3 15.4 13.22 %
Applied Optoelectronics Inc AAOI Total 38.4 -40.5 -
Sifco Industries Inc SIF Total 26.2 -1.3 -
Commonwealth Income & Growth Fund V CIGF5 Total 0.1 0.1 43.49 %
Commonwealth Income & Growth Fund Vi CIGF6 Total 0.2 0.0 16.54 %
Commonwealth Income & Growth Fund Vii, Lp CIGF7 Total 0.5 -0.1 -
Acacia Communications Inc ACIA Total 128.7 12.8 9.93 %
Lear Corp LEA Total 4,817.6 144.0 2.99 %
Stoneridge inc SRI Total 190.4 4.2 2.21 %
Federal Signal Corporation FSS Total 314.4 29.8 9.48 %
Irobot Corporation IRBT Total 426.8 20.0 4.7 %
Electronic Systems Technology Inc ELST Total 0.3 -0.1 -
Houston Wire and Cable Co HWCC Total 82.3 -0.7 -
Ieh Corp IEHC Total 6.8 1.2 17.18 %
Microwave Filter Co Inc MFCO Total 0.8 -0.0 -
Richardson Electronics Ltd RELL Total 39.6 -0.6 -
Tessco Technologies Inc TESS Total 139.6 -5.0 -
Universal Security Instruments Inc UUU Total 3.2 -1.0 -
Raven Industries Inc RAVN Total 85.8 2.7 3.15 %
Arrow Electronics Inc ARW Total 7,156.0 142.4 1.99 %
Encore Wire Corporation WIRE Total 302.3 10.5 3.49 %
Cleartronic, Inc. CLRI Total 0.4 -0.0 -
Falconstor Software Inc FALC Total 4.1 0.1 2.49 %
Nutanix Inc NTNX Total 346.8 -217.6 -
Twilio Inc TWLO Total 331.2 -90.2 -
Internap Corp INAP Total 72.9 -23.8 -
Ambarella Inc AMBA Total 57.2 -13.0 -
Broadcom Inc AVGO Total 5,858.0 385.0 6.57 %
Cts Corporation CTS Total 115.0 10.1 8.75 %
Emcore Corp EMKR Total 25.5 -1.3 -
Finisar Corp FNSR Total 283.4 -8.7 -
Inphi Corp IPHI Total 119.1 -6.9 -
Mellanox Technologies ltd MLNX Total 379.8 73.9 19.45 %
Marvell Technology Group ltd MRVL Total 717.7 1,582.6 220.53 %
Macom Technology Solutions Holdings Inc MTSI Total 112.2 10.5 9.37 %
Maxlinear Inc MXL Total 70.0 -8.1 -
Neophotonics Corp NPTN Total 114.0 12.5 10.94 %
On Semiconductor Corp ON Total 1,401.8 56.9 4.06 %
Osi Systems inc OSIS Total 305.3 21.0 6.87 %
Pixelworks Inc PXLW Total 11.2 -4.6 -
Qorvo Inc QRVO Total 869.1 344.5 39.65 %
Resonant Inc RESN Total 0.5 -7.8 -
Semtech Corp SMTC Total 138.0 -4.4 -
Skyworks Solutions Inc SWKS Total 896.1 257.1 28.69 %
Viavi Solutions Inc VIAV Total 299.8 21.9 7.3 %
Aquantia Corp AQ Total 9.2 -17.9 -
Alpine 4 Technologies Ltd. ALPINE Total 7.1 2.8 39.58 %
Amplitech Group Inc AMPG Total 1.1 0.0 1.55 %
Blonder Tongue Laboratories Inc BDR Total 5.3 -1.3 -
Calamp Corp. CAMP Total 96.6 -7.4 -
Clearfield, Inc. CLFD Total 19.4 0.5 2.59 %
Clearone Inc CLRO Total 6.3 -2.0 -
Comtech Telecommunications Corp CMTL Total 161.7 3.5 2.16 %
Dasan Zhone Solutions Inc DZSI Total 77.6 -10.2 -
Franklin Wireless Corp FKWL Total 13.3 0.7 5.53 %
Harmonic Inc HLIT Total 122.2 5.6 4.56 %
Infinera Corp INFN Total 384.6 -66.6 -
Communications Systems Inc JCS Total 0.6 1.7 306.86 %
Kvh Industries Inc De KVHI Total 39.4 -3.4 -
Lumentum Holdings Inc LITE Total 201.5 49.1 24.37 %
Netgear Inc NTGR Total 253.0 -0.4 -
Parkervision Inc PRKR Total 0.0 -2.1 -
Bk Technologies Corp RWC Total 1.3 -4.5 -
Seachange International Inc SEAC Total 20.5 2.1 10.44 %
Sierra Wireless Inc SWIR Total 713.5 -70.5 -
Technical Communications Corp TCCO Total 0.7 -0.5 -
Utstarcom Holdings Corp. UTSI Total 115.9 4.8 4.16 %
Vocera Communications Inc VCRA Total 50.8 0.3 0.59 %
Westell Technologies Inc WSTL Total 7.2 -1.5 -
Zoom Telephonics, Inc. ZMTP Total 10.9 -0.2 -
Ii vi Incorporated IIVI Total 340.4 -26.0 -
Cree Inc CREE Total 239.9 -52.5 -
APROX. MARKET   SUBTOTAL 253,168 16,427 6.49 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Intel Corporation INTC Total 0.0 0.0 -
Hp inc HPQ Total 14,603.0 1,179.0 8.07 %
Dell Technologies Inc DELL Total 24,032.0 416.0 1.73 %
Dell Technologies Inc DELL Storage 424.0 0.0 -
Avnet Inc AVT Total 4,534.8 3.7 0.08 %
Avid Technology Inc AVID Total 116.3 15.4 13.22 %
Irobot Corporation IRBT Total 426.8 20.0 4.7 %
Tessco Technologies Inc TESS Total 139.6 -5.0 -
Arrow Electronics Inc ARW Total 7,156.0 142.4 1.99 %
Falconstor Software Inc FALC Total 4.1 0.1 2.49 %
APROX. MARKET   SUBTOTAL 51,437 1,772 3.44 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Intel Corporation INTC Digital Enterprise Group 9,417.0 4,014.0 42.63 %
Visteon Corporation VC Electronics 771.0 80.0 10.38 %
Knowles Corporation KN Total 250.4 63.4 25.32 %
Koss Corp KOSS Total 4.2 -0.2 -
Genasys Inc. LRAD Total 8.8 0.6 7.06 %
Cirrus Logic Inc CRUS Total 374.7 68.5 18.29 %
Dsp Group Inc DSPG Total 25.7 -1.0 -
Vuzix Corp VUZI Total 2.0 -9.8 -
APROX. MARKET   SUBTOTAL 1,437 201 14.02 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Intel Corporation INTC Data Center Group 4,140.0 2,127.0 51.38 %
Dell Technologies Inc DELL Total 24,032.0 416.0 1.73 %
Avnet Inc AVT Total 4,534.8 3.7 0.08 %
Commonwealth Income & Growth Fund V CIGF5 Total 0.1 0.1 43.49 %
Commonwealth Income & Growth Fund Vi CIGF6 Total 0.2 0.0 16.54 %
Commonwealth Income & Growth Fund Vii, Lp CIGF7 Total 0.5 -0.1 -
Irobot Corporation IRBT Total 426.8 20.0 4.7 %
Tessco Technologies Inc TESS Total 139.6 -5.0 -
Arrow Electronics Inc ARW Total 7,156.0 142.4 1.99 %
APROX. MARKET   SUBTOTAL 36,290 577 1.59 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Intel Corporation INTC Other Intel Architecture Group 1,105.0 -620.0 -
Motorola Solutions inc MSI Personal Communications 2,420.0 72.0 2.98 %
Centurylink inc CTL Network access 2,332.0 0.0 -
Centurylink inc CTL Other 258.0 0.0 -
Centurylink inc CTL Data 142.0 0.0 -
Verizon Communications Inc VZ Domestic Wireless Total 23,005.0 0.0 -
Equillium Inc EQ Voice 916.0 0.0 -
Verizon Communications Inc VZ Wireline 9,355.0 0.0 -
Atlantic Power Corporation AT Total 66.2 -63.4 -
Frontier Communications Corp FTR Local services 494.8 0.0 -
Frontier Communications Corp FTR Access services 132.0 0.0 -
Sprint Corporation S Wireless Total 7,540.0 2,074.0 27.51 %
Sprint Corporation S Wireline Total 483.0 9.0 1.86 %
At andt Inc T Wireless Service 15,095.0 0.0 -
At andt Inc T Wireline 17,487.0 3,861.0 22.08 %
Comcast Corporation CMCSA Phone 900.0 0.0 -
Windstream Holdings, Inc. WIN Voice service 498.1 0.0 -
Apple Inc AAPL iPhone & Related Products 31,368.0 0.0 -
Internap Corp INAP Total 72.9 -23.8 -
APROX. MARKET   SUBTOTAL 112,565 5,929 5.27 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Intel Corporation INTC PC Client Group 8,506.0 2,433.0 28.6 %
Dell Technologies Inc DELL Total 24,032.0 416.0 1.73 %
Commonwealth Income & Growth Fund V CIGF5 Total 0.1 0.1 43.49 %
Commonwealth Income & Growth Fund Vi CIGF6 Total 0.2 0.0 16.54 %
Commonwealth Income & Growth Fund Vii, Lp CIGF7 Total 0.5 -0.1 -
Irobot Corporation IRBT Total 426.8 20.0 4.7 %
APROX. MARKET   SUBTOTAL 24,460 436 1.78 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Intel Corporation INTC Software Services Group 556.0 102.0 18.35 %
Ptc Inc PTC Total 335.0 9.8 2.93 %
Alarm com Holdings Inc ALRM Total 140.5 12.8 9.14 %
Endurance International Group Holdings Inc EIGI Total 277.2 7.8 2.82 %
Everbridge Inc EVBG Total 57.1 -13.1 -
George Risk Industries Inc RSKIA Total 3.6 1.0 29.24 %
APROX. MARKET   SUBTOTAL 813 18 2.26 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Intel Corporation INTC DEG Microprocessor 0.0 0.0 -
Avnet Inc AVT Total 4,534.8 3.7 0.08 %
Tessco Technologies Inc TESS Total 139.6 -5.0 -
Arrow Electronics Inc ARW Total 7,156.0 142.4 1.99 %
APROX. MARKET   SUBTOTAL 11,830 141 1.19 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Intel Corporation INTC MG Flash memory 0.0 0.0 -
Avnet Inc AVT Total 4,534.8 3.7 0.08 %
Tessco Technologies Inc TESS Total 139.6 -5.0 -
Arrow Electronics Inc ARW Total 7,156.0 142.4 1.99 %
APROX. MARKET   SUBTOTAL 11,830 141 1.19 %





             
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