November 06, 2025 a 07:43 pm

UNP: Fundamental Ratio Analysis - Union Pacific Corporation

Union Pacific Corporation stock analysis

Union Pacific Corporation is a key player in the railroad industry, connecting vital markets across the United States. With its substantial rail network, the company plays an essential role in the transportation of various commodities and goods. The fundamental analysis reflects a stable financial framework, making it a noteworthy consideration for investors.

Fundamental Rating

The fundamental analysis scores Union Pacific Corporation as a solid investment, with some areas for potential improvement.

Category Score Visualization
Overall 3
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

Comparing the current scores with past data reveals consistent performance with slight fluctuations.

Date Overall DCF ROE ROA Debt/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 estimates present a promising outlook with a median target price significantly above the current market price, indicating potential for growth.

High Low Median Consensus
$272 $227 $263 $257
Union Pacific Corporation stock price chart

Description of the image or additional insights.

Analyst Sentiment

The sentiment among analysts is predominantly positive, with a notable inclination towards 'Buy' recommendations.

Recommendation Count Visualization
Strong Buy 1
Buy 28
Hold 17
Sell 1
Strong Sell 0

Final Thoughts

Union Pacific Corporation remains a robust option in the railroad sector due to its extensive network and strategic market connections. Despite occasional financial pressures, the company's overall stability and growth potential make it an attractive investment. Analysts' optimistic price targets and positive sentiment further reinforce this position. However, investors should remain vigilant about industry-specific risks and macroeconomic factors affecting the broader market. This balanced analysis underscores the company as a solid long-term asset in a well-diversified investment portfolio.