EQ

EQIX

Equinix, Inc.
$1023.81-1.85% today
Tracked investors holding EQIX
InvestorFirmPositionWeightAs of
Philippe Laffont Coatue Management $1,328M 2.7% 2026-06-30
Stanley Druckenmiller Duquesne Family Office $19M 0.4% 2026-06-30
Ray Dalio Bridgewater Associates $10M 0.0% 2026-06-30
Ken Fisher Fisher Asset Management $0M 0.0% 2026-06-30

From the most recent 13F on file. A 13F reports long US equity positions quarterly and in arrears — it is what a manager held on the report date, not what they hold today.

Sharia status
COMPLIANT
Per our secondary compliance provider · assessed 2026-07-31
🕌 Held by MNZL HTR non-permissible income 2.09%
Methodology breakdown (4/7 compliant)
AAOIFI ● PASS
Debt ratio 20.7% (< 30%)
Investments ratio 2.2% (< 30%)
Non permissible income ratio 2.1% (< 5%)
Usmani ● FAIL
Debt ratio 57.3% (< 33%)
Investments ratio 5.5% (< 33%)
Nonliquid assets ratio 91.4% (< 20%)
Non permissible income ratio 2.1% (< 5%)
Net liquid assets -$0.3B (mkt cap $102.7B)
Dow Jones ● PASS
Debt ratio 24.8% (< 33%)
Cash and interest ratio 2.6% (< 33%)
Receivables ratio 1.5% (< 33%)
Non permissible income ratio 2.1% (< 5%)
S&P Shariah ● PASS
Debt ratio 26.3% (< 33%)
Cash and interest ratio 2.8% (< 49%)
Receivables ratio 1.6% (< 49%)
Non permissible income ratio 2.1% (< 5%)
MSCI ● FAIL
Debt ratio 51.7% (< 33%)
Cash and interest ratio 5.5% (< 33%)
Receivables ratio 8.6% (< 33%)
Non permissible income ratio 2.1% (< 5%)
MSCI M ● PASS
Debt ratio 26.3% (< 33%)
Cash and interest ratio 2.8% (< 33%)
Receivables ratio 4.4% (< 49%)
Non permissible income ratio 2.1% (< 5%)
FTSE ● FAIL
Debt ratio 48.4% (< 33%)
Cash and interest ratio 5.5% (< 33%)
Receivables ratio 8.6% (< 50%)
Non permissible income ratio 2.1% (< 5%)
🟡These standards don't all agree.

Business activity cleared — no excluded categories detected

🔎 Data provenance — sourcing & safeguards behind these numbers

Source: stored filing inputs · Balance sheet as of 2026-06-30 · Income statement as of 2025-12-31

Real XBRL tags pulled from the issuer's own filing:
Total assets Assets
Debt LongTermDebt
Total liabilities Liabilities
Lease liabilities FinanceLeaseLiabilityNoncurrent, FinanceLeaseLiabilityCurrent, OperatingLeaseLiabilityNoncurrent, OperatingLeaseLiabilityCurrent
Operating lease liabilities OperatingLeaseLiabilityNoncurrent, OperatingLeaseLiabilityCurrent
Investments CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalents, ShortTermInvestments
Current liabilities LiabilitiesCurrent
Receivables AccountsReceivableNetCurrent
Total revenue RevenueFromContractWithCustomerExcludingAssessedTax
Interest income InvestmentIncomeInterest
Finance costs InterestExpense
🕌Open research, not a fatwa — verify with your own scholar.
Trade setup SEPARATE FROM SHARIAH
⚪ NEUTRAL — No Edge
Signals are mixed with no clear edge in either direction. Stand aside and wait for one more confluence factor.
63
of 100
Setup confidence — system conviction, not win probabilityC
Trade plan MOM · SCALP
Entry
$1018.15
Stop
$1005.05
Target
$1083.00
Risk : Reward 5.0R
Why this signal?
Structure1 of 5 timeframes bullish · 69.6% aligned
VWAPPrice below VWAP ($1036.35)
VolumeRelative volume 2.8× the 20-day average
Momentum10-day rate of change -3.4%
Overall readNEUTRAL — No Edge

Equinix, Inc. (EQIX) is currently considered halal (Sharia-compliant), per our secondary compliance provider (last assessed 2026-07-31). See the full ratio breakdown and business-activity screen below for the reasoning.

Market & analysts
Wall Street consensus
BUY
40 analysts
Institutional own.
101.0% *
of shares
Momentum (10d)
-3.4%
rate of change
SMC grade
C · 63
69.6% aligned
COMPLIANT
Sharia compliance
🕌 MNZL
Held by real halal ETF(s)
2.09%
Non-permissible income — HTR, from filings (2025-12-31)
C · 63
SMC grade — 69.6% timeframe alignment
-3.4%
Rate of change (10d)
BUY
Wall Street consensus (40)
101.0%
Institutional ownership *

🕌 In-house Compliance Research

Research only, not the primary verdict above — computed from SEC EDGAR filings and business-activity classification, same as the Discord bot's !halal command.

Business activity: cleared (no excluded categories detected)

AAOIFI Standard 21 (% of market cap) — Pass
Debt ratio 20.7% (< 30%)
Investments ratio 2.2% (< 30%)
Non permissible income ratio 2.1% (< 5%)
Usmani (% of total assets) — Fail
Debt ratio 57.3% (< 33%)
Investments ratio 5.5% (< 33%)
Nonliquid assets ratio 91.4% (< 20%)
Non permissible income ratio 2.1% (< 5%)
Net liquid assets -$0.3B (mkt cap $102.7B)
Dow Jones Islamic Market (% of 24-mo avg market cap) — Pass
Debt ratio 24.8% (< 33%)
Cash and interest ratio 2.6% (< 33%)
Receivables ratio 1.5% (< 33%)
Non permissible income ratio 2.1% (< 5%)
S&P Shariah Indices (% of 36-mo avg market cap) — Pass
Debt ratio 26.3% (< 33%)
Cash and interest ratio 2.8% (< 49%)
Receivables ratio 1.6% (< 49%)
Non permissible income ratio 2.1% (< 5%)
MSCI Islamic Index (% of total assets) — Fail
Debt ratio 51.7% (< 33%)
Cash and interest ratio 5.5% (< 33%)
Receivables ratio 8.6% (< 33%)
Non permissible income ratio 2.1% (< 5%)
MSCI Islamic M-Series (% of 36-mo avg market cap) — Pass
Debt ratio 26.3% (< 33%)
Cash and interest ratio 2.8% (< 33%)
Receivables ratio 4.4% (< 49%)
Non permissible income ratio 2.1% (< 5%)
FTSE Shariah Global Equity Index Series (% of total assets) — Fail
Debt ratio 48.4% (< 33%)
Cash and interest ratio 5.5% (< 33%)
Receivables ratio 8.6% (< 50%)
Non permissible income ratio 2.1% (< 5%)
🔎 Data provenance — sourcing & safeguards behind these numbers

Source: stored filing inputs · Balance sheet as of 2026-06-30 · Income statement as of 2025-12-31

↳ Operating lease liabilities ($1.4B) folded into the debt figure above, per AAOIFI's post-IFRS-16 treatment.
Real XBRL tags pulled from the issuer's own filing (auditable against it directly):
Total assets Assets
Debt LongTermDebt
Total liabilities Liabilities
Lease liabilities FinanceLeaseLiabilityNoncurrent, FinanceLeaseLiabilityCurrent, OperatingLeaseLiabilityNoncurrent, OperatingLeaseLiabilityCurrent
Operating lease liabilities OperatingLeaseLiabilityNoncurrent, OperatingLeaseLiabilityCurrent
Investments CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalents, ShortTermInvestments
Current liabilities LiabilitiesCurrent
Receivables AccountsReceivableNetCurrent
Total revenue RevenueFromContractWithCustomerExcludingAssessedTax
Interest income InvestmentIncomeInterest
Finance costs InterestExpense

⚠️ These two accepted standards disagree for this stock.

Combined verdict: AAOIFI Compliant Usmani Non Compliant Dow Jones Islamic Compliant S&P Shariah Compliant MSCI Islamic Non Compliant MSCI Islamic M Compliant FTSE Shariah Non Compliant

ℹ️ Usmani, MSCI Islamic, FTSE Shariah screen this company as Non-Compliant on the financial ratios alone — a ratio failure is decisive on its own, so those verdicts stand regardless of what the business-activity screen concluded.

1,110.631,011.77912.91814.05715.182025-09-112026-03-122026-09-10

Pinch or scroll to zoom · drag to pan — both axes move · double-click to reset

Support & Resistance
S3
1017.15
S2
1024.71
S1
1033.88
PIVOT
1041.44
R1
1050.61
R2
1058.17
R3
1067.34

Classic floor-trader pivots from the last completed daily bar. Highlighted pills are the levels bracketing the current price.

Price Forecast

7-day expected range
943.052 1112.13
±8.23% from 1027.59, made 2026-09-02 · resolves 2026-09-09
STRONG SELL
from 19 indicators
Not enough resolved predictions yet — 0 of 10 needed before we publish an accuracy figure. 21771 forecast(s) are currently open and will be scored automatically when their horizon expires.

The range is measured volatility (ATR over the horizon), not a target — a wider band means a more volatile asset, not a stronger view. The direction is the indicator tally above. Every forecast is recorded when made and scored against the real price when it comes due, including the wrong ones. Not a recommendation, and not a fatwa.

Technical Summary

STRONG SELL
19 indicators
OscillatorsSTRONG SELL
0 buy · 4 neutral · 3 sell
Moving averagesSTRONG SELL
2 buy · 0 neutral · 10 sell
Every indicator, and what it reads
IndicatorValueSignal
RSI (14)42.60NEUTRAL
Stochastic %K (14)21.92NEUTRAL
CCI (20)-86.58NEUTRAL
Williams %R (14)-78.08NEUTRAL
MACD (12,26,9)-4.15SELL
ROC (10)-5.17SELL
Momentum (10)-55.80SELL
EMA (10)1040.86SELL
SMA (10)1039.93SELL
EMA (20)1046.67SELL
SMA (20)1058.52SELL
EMA (30)1047.92SELL
SMA (30)1052.24SELL
EMA (50)1047.21SELL
SMA (50)1040.10SELL
EMA (100)1030.23SELL
SMA (100)1055.74SELL
EMA (200)952.00BUY
SMA (200)956.91BUY

Standard indicator thresholds (RSI 30/70, Stochastic 20/80, CCI ±100, Williams %R −80/−20, MACD histogram sign, price vs. average) computed on daily bars. A summary of what common indicators say — not a recommendation, and not this site's own trading verdict.

About Equinix, Inc.

Real Estate · REIT - Specialty

Equinix, Inc. shortens the path to boundless connectivity anywhere in the world. Its digital infrastructure, data center footprint and interconnected ecosystems empower innovations that enhance our work, life and planet. Equinix connects economies, countries, organizations and communities, delivering seamless digital experiences and cutting-edge AI quickly, efficiently and everywhere. Equinix, Inc. was established on June 22, 1998 and is based in Redwood City, United States.

equinix.com ↗

Background via Yahoo Finance — informational, not part of the verdict.

Latest Signal — 2026-07-07

MOM
Type · SCALP
1018.15
Entry
1005.05
Stop
1083.00
Target
LOSS
Outcome
Verdict

⚪ NEUTRAL — No Edge

Signals are mixed with no clear edge in either direction. Stand aside and wait for one more confluence factor.

Scores: 2 bullish / 2 bearish

Grade verdict

Average — needs more confirmation before sizing up

SMC — Top Down

TimeframeBiasBars
📅 Daily BEARISH 62
⏰ 4H RANGING 36
🕐 1H BEARISH 98
⏱ 15-Min BEARISH 130
⏲ 5-Min BULLISH 234

Momentum & Volume

-5.16
MACD (no fresh cross)

Insider Activity (90d)

BEARISH   0 buys · 1 sells

Recent: PAISLEY CHRISTOPHER B sold 13859 sh @ $1019.28 (2026-08-03)

COT Positioning — E-MINI S&P 500 - CHICAGO MERCANTILE EXCHANGE

NEUTRAL   report date 2026-09-01 · Asset managers net 934180 (-19048)

Key Statistics

Real Estate
Sector · Real Estate
$101.0B
Market cap
66.0
P/E (TTM)
5.3
P/B
$15.54
EPS (TTM)
$98.90
Revenue / share
9.6%
Revenue growth (YoY)
15.6%
Net margin
51.5%
Gross margin
10.8%
Return on equity
1.50
Debt / equity
1.32
Current ratio
2.14%
Dividend yield
0.98
Beta
$720.62 – $1128.68
52-week range
48
RSI
6/10
Risk score

AI Summary

Plain-language summary of the evidence already on this page — the Sharia screen, structure, momentum, and order flow above. It explains the read; it doesn't make the call. Generated on demand (a live AI call), never run automatically.

Tell us what's working, what's confusing, or what you want to see next — read by a real person, not a form that goes nowhere.