September 11, 2025 a 07:43 am

NSC: Fundamental Ratio Analysis - Norfolk Southern Corporation

Norfolk Southern Corporation Stock Overview

Norfolk Southern Corporation (NSC) operates a critical rail network across 22 states, emphasizing its strategic position in the transportation industry. Its diverse cargo range, from raw materials to consumer goods, highlights its stability and growth potential. Investors may find its focus on intermodal transportation and passenger services particularly promising.

Fundamental Rating

Norfolk Southern displays a stable financial performance with strengths in return on equity and assets, though it is challenged by debt-to-equity ratios.

Category Score Visualization
Discounted Cash Flow 3
Return on Equity 5
Return on Assets 4
Debt-To-Equity 1
Price-To-Earnings 3
Price-To-Book 2

Historical Rating

The historical scores reflect a stable financial performance with consistent valuation metrics, with minor fluctuations in overall scores.

Date Overall DCF ROE ROA Debt-To-Equity P/E P/B
2025-09-10 3 3 5 4 1 3 2
2025-09-09 3 3 5 4 1 3 2

Analyst Price Targets

Analysts maintain a buy consensus with target prices indicating moderate growth potential, reflective of the stock's stability.

High Low Median Consensus
260 255 257.5 257.5
NSC Stock Chart

Analyst Sentiment

The analyst community generally favors the stock, with a majority recommending a buy stance, supported by favorable returns.

Recommendation Count Visualization
Strong Buy 0
Buy 24
Hold 21
Sell 3
Strong Sell 0

Conclusion

Norfolk Southern Corporation (NSC) demonstrates robust operational capabilities with a focus on diverse transportation services. Its stable financial performance is reinforced by solid returns on equity and assets, though it faces challenges in debt management. Analysts maintain a positive outlook, reflected in their consensus and price targets. While short-term fluctuations may occur, NSC's strategic positioning in the rail industry suggests long-term growth potential. Investors should weigh these factors against current market conditions and risk tolerance.