November 07, 2025 a 07:43 am

ADBE: Fundamental Ratio Analysis - Adobe Inc.

Adobe Inc. Stock Analysis

Adobe Inc. performs solidly in the technology sector, with a strong focus on creativity and digital solutions, making it an attractive option for investors. Its diversified product offerings and strategic market positioning stand out. However, careful consideration of financial metrics and market conditions is essential for potential stakeholders.

Fundamental Rating

Adobe Inc. maintains a stable fundamental rating primarily supported by its strong returns on equity and assets. While its debt management remains a point for improvement, the overall score suggests a solid investment potential.

Category Score Visualization
Discounted Cash Flow 4
Return on Equity 5
Return on Assets 5
Debt to Equity 1
Price to Earnings 3
Price to Book 1

Historical Rating

The historical performance of Adobe Inc. reflects consistent strength in key areas, which helps investors gauge the long-term stability of the company's stocks.

Date Overall Score DCF ROE ROA Debt to Equity P/E P/B
2025-11-06 3 4 5 5 1 3 1
Previous 0 4 5 5 1 3 1

Analyst Price Targets

Analyst expectations for Adobe Inc. reflect a generally positive outlook, with target prices indicating potential growth. Investors may see varied returns based on their entry point relative to the consensus forecast.

High Low Median Consensus
465 280 440 418.75
Adobe Inc. Stock Chart

Analyst Sentiment

Analyst reviews favor Adobe Inc., with a dominant number advising a 'Buy'. The sentiment showcases confidence in the company's future performance.

Recommendation Count Visualization
Strong Buy 0
Buy 41
Hold 18
Sell 2
Strong Sell 0

Conclusion

Adobe Inc. presents a compelling investment opportunity due to its strong financial fundamentals and positive analyst sentiment. The company is well-positioned in the technology sector, leveraging its creative and digital solutions to maintain competitive advantage. While debt levels could be a concern, robust earnings capacity and price targets suggest growth potential. Investors should consider market dynamics and inherent sector risks before committing.