US · USD

EMR

Emerson Electric Company

US$158.57+2.24% (US$3.47)
Day's range
US$153.10 – US$158.91
Day's volume
US$242.7m
52-week range
US$122.34 – US$163.82

Follow EMR on Fuolio

See how EMR weighs in your net worth, what it has paid you and how far it is from your target allocation.

Create a free account

EMR in numbers

Market cap
US$88.4bn
P/E
34.31
P/B
4.34
Dividend yield (12m)
1.40%

The 12-month dividend yield of EMR is 1.40%, below its 5-year average of 1.96%.

EMR price history

02/10/202501/10/2026
Compare with

EMR risk and return

Monthly closes adjusted for splits and distributions.

Metric12 months36 months60 months
Return+14.28%+86.07%+78.71%
Volatility (annualised)20.47%27.37%28.37%
Largest drawdown-13.09%-20.40%-24.41%
Positive months8/1221/3632/60

How much did investing in EMR return?

US$1,000.00 invested on 01/09/2021 would be worth US$1,817.69 today.

Value today in EMR
US$1,817.69
Return over the period
+81.77%
Return per year
+12.70%
In the S&P 500
US$1,776.31

With dividends reinvested, before taxes and costs, at month-end closes. Past returns do not guarantee future ones.

EMR fundamentals

Valuation

  • P/E
    34.31
  • P/B
    4.34
  • EV/EBITDA
    —
  • EV/EBIT
    —
  • EV/Revenue
    5.15
  • P/EBIT
    —
  • P/S
    4.75
  • P/OCF
    22.61
  • P/FCF
    25.56
  • Earnings yield
    —
  • PEG ratio
    —
  • Earnings per share
    US$4.62
  • Book value per share
    US$36.53

Debt

  • Net debt
    US$7.5bn
  • Net debt/EBITDA
    —
  • Net debt/Equity
    0.37
  • Debt/Equity
    0.37
  • Current ratio
    0.90
  • Quick ratio
    0.66
  • Cash ratio
    —

Efficiency

  • Gross margin
    53.17%
  • EBITDA margin
    —
  • Operating margin
    —
  • Net margin
    13.83%
  • Asset turnover
    0.44

Profitability

  • ROE
    12.65%
  • ROA
    6.11%
  • ROIC
    —
  • Payout
    48.03%

Growth

  • Revenue CAGR (5 years)
    0.87%
  • Earnings CAGR (5 years)
    1.82%
  • Revenue growth (year)
    —
  • Earnings growth (year)
    —
  • Revenue growth (quarter)
    —
  • Earnings growth (quarter)
    —

What is EMR's fair price?

Two classic value formulas, with today's numbers. The current price is US$158.57.

Graham's fair price
US$61.64
61.13% below the price

√(22.50 × US$4.62 × US$36.53)

Benjamin Graham paid no more than a P/E of 15 and a P/B of 1.5. Their product, 22.5, times earnings (EPS) and book value per share gives the fair price.

Bazin's ceiling price
US$34.73
78.10% below the price

US$2.08 (5-year average) ÷ 6%

Décio Bazin only bought shares yielding at least 6% a year in distributions. The ceiling price is the average dividend per share of recent years divided by 6%.

Graham ignores growth and debt; Bazin assumes past distributions will repeat. They are reference points for comparison, not a buy recommendation.

EMR indicators by year

Multiples at each year's closing price; margins and returns from that year's accounts.

Indicator20252024202320222022202120202019
P/E32.5235.914.20—17.5824.0224.4620.14
P/B3.683.272.685.305.485.605.725.64
Dividend yield1.61%1.70%2.14%2.15%2.15%2.18%2.49%2.58%
Earnings per shareUS$4.08US$3.45US$23.19—US$5.46US$3.87US$3.29US$3.79
Book value per shareUS$36.10US$37.94US$36.29US$18.14US$17.52US$16.61US$14.05US$13.52
ROE11.31%9.10%63.89%—31.18%23.30%23.38%28.01%
Gross margin52.84%50.79%48.97%—45.68%58.48%41.76%42.54%
Net margin12.73%11.25%87.17%—23.41%17.81%11.71%12.55%

EMR financial statements

Line202520242023202220222021
Net revenueUS$18bnUS$17.5bnUS$15.2bnUS$1.7bnUS$13.8bnUS$12.9bn
Cost of sales-US$8.5bn-US$8.6bn-US$7.7bn—-US$7.5bn-US$7.2bn
Gross profitUS$9.5bnUS$8.9bnUS$7.4bn—US$6.3bnUS$7.6bn
EBITDA——————
EBIT——————
Net finance result——————
Profit before taxUS$2.9bnUS$2bnUS$2.9bn—US$2.4bnUS$1.8bn
Income tax-US$696m-US$415m-US$642m—-US$549m-US$346m
Net incomeUS$2.3bnUS$2bnUS$13.2bn—US$3.2bnUS$2.3bn

Figures the company filed with the CVM. Debt excludes leases; each quarter is that quarter alone.

Does EMR pay dividends?

Dividend yield per year

  • 2.76%2017
  • 3.26%2018
  • 2.58%2019
  • 2.49%2020
  • 2.18%2021
  • 2.15%2022
  • 2.14%2023
  • 1.70%2024
  • 1.61%2025
  • 1.05%2026
Payment history
TypeLast day to ownPaymentPer share
Dividend13/08/202610/09/2026US$0.56
Dividend14/05/202610/06/2026US$0.56
Dividend12/02/202610/03/2026US$0.56
Dividend13/11/202510/12/2025US$0.56
Dividend14/08/202510/09/2025US$0.53
Dividend15/05/202510/06/2025US$0.53
Dividend13/02/202510/03/2025US$0.53
Dividend14/11/202410/12/2024US$0.53
Dividend15/08/202410/09/2024US$0.53
Dividend15/05/202410/06/2024US$0.53
Dividend14/02/202411/03/2024US$0.53
Dividend15/11/202311/12/2023US$0.53
See all 40 distributions
Earlier distributions
TypeLast day to ownPaymentPer share
Dividend09/08/202311/09/2023US$0.52
Dividend10/05/202309/06/2023US$0.52
Dividend15/02/202310/03/2023US$0.52
Dividend08/11/202209/12/2022US$0.52
Dividend10/08/202209/09/2022US$0.52
Dividend11/05/202210/06/2022US$0.52
Dividend09/02/202210/03/2022US$0.52
Dividend09/11/202110/12/2021US$0.52
Dividend11/08/202110/09/2021US$0.51
Dividend12/05/202110/06/2021US$0.51
Dividend10/02/202110/03/2021US$0.51
Dividend11/11/202010/12/2020US$0.51
Dividend12/08/202010/09/2020US$0.50
Dividend13/05/202010/06/2020US$0.50
Dividend12/02/202010/03/2020US$0.50
Dividend13/11/201910/12/2019US$0.50
Dividend14/08/201910/09/2019US$0.49
Dividend15/05/201910/06/2019US$0.49
Dividend13/02/201911/03/2019US$0.49
Dividend14/11/201810/12/2018US$0.49
Dividend15/08/201810/09/2018US$0.49
Dividend09/05/201811/06/2018US$0.49
Dividend14/02/201809/03/2018US$0.49
Dividend15/11/201711/12/2017US$0.49
Dividend08/08/201711/09/2017US$0.48
Dividend09/05/201709/06/2017US$0.48
Dividend14/02/201710/03/2017US$0.48
Dividend07/11/201609/12/2016US$0.48

About Emerson Electric Company

Sector
Manufacturing

Questions about EMR

How much is EMR today?

EMR is at US$158.57 (2.24% on the day), last traded on 01/10/2026.

How much did EMR pay in dividends in 2025?

EMR paid US$2.14 per share in 2025, a dividend yield of 1.61%.

What are the P/E and P/B of EMR?

EMR trades at a P/E of 34.31 and a P/B of 4.34.

How much did EMR return in 12 months?

EMR returned 14.28% in 12 months, with annualised volatility of 20.47% and a largest drawdown of -13.09%.