June 14, 2026 a 08:00 am

AOS: Fundamental Ratio Analysis - A. O. Smith Corporation

A. O. Smith Corporation Stock Overview

A. O. Smith Corporation, with its expansive reach across various continents and a diverse product portfolio in water heating and treatment solutions, stands as a robust entity in the industrial machinery sector. Trading under the ticker AOS, the company's solid fundamentals and market presence in both residential and commercial sectors make it a notable player. However, investors should consider regional market challenges and global economic conditions that could impact its operations.

Fundamental Rating

The current fundamental rating for A. O. Smith is A-. The company demonstrates strong performance in return on equity and assets with slightly lower scores in debt to equity and price metrics.

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

Historical Rating

Historical data indicates stability in A. O. Smith's fundamental ratings, maintaining steady scores over time.

Date Overall DCF ROE ROA D/E P/E P/B
2026-06-12 4 4 5 5 3 3 1
Historical 0 4 5 5 3 3 1

Analyst Price Targets

Analyst consensus rates A. O. Smith as 'Hold', with a median price target suggesting potential for moderate growth.

High Low Median Consensus
$75 $67 $72.5 $71.83
Stock Price Chart

Analyst Sentiment

The analyst sentiment shows a tendency towards 'Hold', reflecting mixed opinions on the stock's future performance.

Recommendation Count Visualization
Strong Buy 0
Buy 10
Hold 18
Sell 2
Strong Sell 0

Conclusion

A. O. Smith Corporation exhibits a robust foundation with its diverse product offerings and strong market presence, particularly in North America and Asia. The fundamental ratings reflect strengths in management efficiency and asset utilization, though there are concerns regarding valuation metrics. Analyst consensus aligns with a 'Hold' rating, which suggests a balanced perspective on near-term prospects. While the company's innovative solutions and established distribution channels offer growth potential, market headwinds and economic factors present notable risks to be considered by investors.

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