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EMREMR

$152.1

+3.47
arrow_drop_up2.33%
Market closed·update03 Feb 2026 21:00

$157.31

+5.21
arrow_drop_up3.43%
Post-market·update04 Feb 2026 00:59
Day's Range
149.545-154.04
52-week Range
90.06-154.04

Chart

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Performance

Key Stats

Next Earnings Date2026-02-03
Next Earnings TimeAfter Market Close
Volume4.9M
Average Volume 30d2.7M

AI EMR Summary

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42.31
Valuation (P/E Ratio)
The P/E ratio of 42.31 suggests investors are willing to pay a premium for Emerson Electric's earnings, possibly reflecting growth expectations or market positioning. Compared to historical or industry averages, this could be considered high or reasonable depending on the context of growth and future earnings potential.
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0.15
EPS Growth (YoY)
The provided data shows EPS for Q1 2024 at $1.22 and Q1 2023 at $0.78, indicating a significant year-over-year increase. The performance data also shows a 21.21% YTD performance, and 27.91% 1-year performance, suggesting positive earnings momentum and investor confidence.
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AI Scoreboard

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Overall Analysis

Buy
79

Emerson Electric exhibits strong fundamental performance, particularly in profitability and balance sheet strength, supported by solid demand in its industrial sectors. While valuation is slightly stretched and short-term technicals show mixed signals, the company's consistent dividend growth and broad market presence make it an attractive long-term investment.

Moderate

Thematic

70

Emerson Electric benefits from secular trends in industrial automation, digital transformation, and energy efficiency, though it is not at the forefront of disruptive technologies like AI. Its exposure to these themes is solid but may not offer the same explosive growth potential as more focused tech companies.

Strong

Fundamental

85

Emerson Electric demonstrates robust financial health with high profitability, consistent free cash flow, and a strong balance sheet. Its valuation, particularly the P/E ratio, appears elevated relative to its historical performance, but growth prospects and dividend yield are attractive.

Neutral

Technical

66

The stock has experienced strong upward momentum over the past year, with price trading above key moving averages. However, recent momentum indicators suggest the stock may be cooling off or entering a period of consolidation, with some oscillators in overbought territory.

FactorScore
Industrial Automation & Digitalization85
Energy Transition & Efficiency75
Infrastructure & Utilities Modernization70
Technological Disruption (e.g., AI, IoT)50
Market Growth & Diversification70
FactorScore
Valuation50
Profitability80
Growth60
Balance Sheet Health85
Cash Flow85
Dividend70
FactorScore
Trend Analysis80
Momentum40
Volume Confirmation70
Support & Resistance75
Short-term Indicators65

AI Investing Checklist

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Bullish Points (7)

Earnings Performance chevron_right

Consistent EPS Beat

The company has exceeded earnings per share (EPS) estimates in 9 out of the last 10 quarters, with an average surprise of 9.25%. This consistent outperformance suggests strong operational execution and efficient cost management.

Valuation chevron_right

Attractive Forward P/E Ratio

The forward Price-to-Earnings (P/E) ratio is 20.5, which is lower than the industry average of 23.0. This suggests the stock may be undervalued relative to its future earnings potential.

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Bearish Points (7)

Valuation Risk chevron_right

High Price-to-Sales Ratio

The current Price-to-Sales (P/S) ratio of 6.2 is at the higher end compared to historical averages and industry peers, suggesting that future growth expectations might be overly optimistic and could lead to a valuation correction if not met.

Profitability & Margins chevron_right

Declining Net Margin Trend

While revenue has grown, the net profit margin has shown a declining trend over the last few quarters (from 21.6% in Q3 2024 to 10.9% in Q1 2025), indicating potential pressure from rising costs or increased competition.

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Calendar

May 2025

16

Ex-Dividend Date

June 2025

10

Next Dividend Date

August 2025

6

Next Earnings Date

EPS Est.
Revenue Est.

H: $1.59

A: $1.51

L: $1.49

H: 4.90B

A: 4.61B

L: 4.47B

Profile

Employees (FY)73K
ISIN-
FIGI-

Emerson Electric Co., a technology and software company, provides various solutions in the Americas, Asia, the Middle East, Africa, and Europe. It operates through segments: Final Control, Measurement & Analytical, Discrete Automation, Safety & Productivity, Control Systems & Software, and Test & Measurement. It provides control, isolation, shutoff, pressure relief, and pressure safety valves, actuators, and regulators for process and hybrid industries. The company also offers intelligent instrumentation measuring the physical properties of liquids or gases, such as pressure, temperature, level, flow, acoustics, corrosion, pH, conductivity, water quality, toxic gases, and flame. In addition, it offers solenoid and pneumatic valves, valve position indicators, pneumatic cylinders, actuators, air preparation equipment, pressure and temperature switches, electric linear motion solutions, programmable automation control systems, electrical distribution equipment, and materials joining solutions. Further, it provides tools for professionals and homeowners; pipe-working tools, including pipe wrenches, pipe cutters, pipe threading and roll grooving equipment, battery hydraulic tools; electrical tools; and other professional tools. Additionally, the company provides control systems, safety instrumented systems, SCADA systems, application software, digital twins, asset performance management, and cybersecurity; and provides software-connected automated test and measurement systems, as well as provides asset optimization software that enables industrial manufacturers to design, operate, and maintain operations for enhancing performance through a combination of decades of modeling, simulation, and optimization capabilities. The company was incorporated in 1890 and is based in Saint Louis, Missouri.

Seasonals

2025
2024
2023
2022
2021

Price Target

143.75 USD

The 39 analysts offering 1 year price forecasts for EMR have a max estimate of 185.00 and a min estimate of 105.00.

Debt Level and Coverage

Debt
Free cash flow
Cash & equivalents

Financial Position Analysis

Assets
Liabilities

Ownership

Free Float shares
560M (99.61%)
Closely held shares
2.21M (0.39%)
562M
Free Float shares
560M (99.61%)
Closely held shares
2.21M (0.39%)

Capital Structure

Market cap
82.59B
Debt
8.2B
Minority interest
0.00
Cash & equivalents
3.59B
Enterprise value
87.2B

Valuation - Summary

Market Cap
82.6B
Net income
2.07B(2.50%)
Revenue
13.2B(16.01%)
82.6B
Market Cap
82.6B
Net income
2.07B(2.50%)
Revenue
13.2B(16.01%)
Price to earning ratio (P/E)40.00x
Price to sales ratio (P/S)6.20x

Valuation - Ratios

P/E
P/S

Revenue to Profit Conversion

Revenue
17.49B
COGS
8.61B
Gross Profit
8.88B
OpEx
6.22B
Operating Income
2.67B
Other & Taxes
698M
Net Income
1.97B

Balance Sheet

Total assets
Total liabilities
Liabilities to assets %

Income Statement

Revenue
Net Income
Net Margin

Cash Flow

Operating Cash Flow
Investing Cash Flow
Financing Cash Flow
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