January 18, 2026 a 07:43 am

DE: Fundamental Ratio Analysis - Deere & Company

Deere & Company Stock Analysis

Deere & Company, operating in the industrial sector, manufactures and distributes agricultural, forestry, and construction machinery globally. Its stock is currently rated as a "Hold" by analyst consensus, indicating a stable market perception. While fundamental metrics show a balanced performance, the company's historical stability appeals to risk-averse investors.

Fundamental Rating

The Deere & Company stock exhibits a mixed fundamental rating, reflecting strong returns and apparent limitations in debt management and valuation metrics.

Category Score Visualization
Overall Rating B-
Discounted Cash Flow 2
Return on Equity 5
Return on Assets 3
Debt to Equity 1
Price to Earnings 2
Price to Book 1

Historical Rating

The historical data provides a context for the current fundamental scores, which have shown little variation over time, suggesting consistent financial performance.

Date Overall DCF ROE ROA Debt/Equity P/E P/B
2026-01-16 2 2 5 3 1 2 1
Previous Date 0 2 5 3 1 2 1

Analyst Price Targets

Price target analysis shows a consolidated view with a high of $612 and a median target suggesting a stable potential for stock appreciation.

High Low Median Consensus
$612 $458 $538 $529.5
Deere & Company Stock Price Chart

Analyst Sentiment

The analyst sentiment leans towards a 'Hold' perspective, with a significant number of 'Buy' recommendations countered by some 'Sell' suggestions.

Recommendation Count Visualization
Strong Buy 0
Buy 18
Hold 21
Sell 6
Strong Sell 0

Conclusion

Deere & Company's stock offers an intriguing proposition for investors seeking stable returns from a well-diversified industrial machinery market leader. Its consistent historical performance and strategic position in key global markets underpin the 'Hold' rating. However, debt management remains an area requiring improvement. The stock's appreciation potential is tempered by current analyst price targets hovering near its median range, suggesting limited short-term upside. Evaluate sector-specific trends and economic indicators before making investment decisions.