May 01, 2026 a 08:00 am

WEC: Fundamental Ratio Analysis - WEC Energy Group, Inc.

WEC Energy Group, Inc. Logo

WEC Energy Group, Inc. operates in a diverse energy sector primarily involving regulated gas and electricity services. The company's steady performance is bolstered by its widespread utility infrastructure and commitment to renewable energy sources. Offering both stability and long-term growth potential, WEC remains an attractive investment for risk-averse investors seeking exposure to the utilities sector.

Fundamental Rating

The fundamental analysis of WEC Energy Group, Inc. suggests a stable and balanced financial performance with some areas for improvement.

Category Score Visualization
Discounted Cash Flow 5
Return on Equity 4
Return on Assets 4
Debt to Equity 2
Price to Earnings 2
Price to Book 2

Historical Rating

WEC has maintained its financial metrics with slight fluctuations over time, indicating consistent performance in fundamental scores.

Date Overall Score Discounted Cash Flow Return on Equity Return on Assets Debt to Equity Price to Earnings Price to Book
2026-04-30 3 5 4 4 2 2 2
N/A 0 5 4 4 2 2 2

Analyst Price Targets

The current analyst price targets suggest moderate growth potential with a consensus rating of 'Hold'.

High Low Median Consensus
$135 $116 $121 $122.78
WEC Stock Chart

Analyst Sentiment

The "Hold" consensus underscores a stable sentiment among analysts regarding WEC Energy Group's prospects.

Recommendation Count Visualization
Strong Buy 0
Buy 10
Hold 20
Sell 3
Strong Sell 1

Conclusion

WEC Energy Group, Inc. displays a robust foundation in its financials, albeit with certain challenges such as high debt ratios. The steady performance in both historical and current ratings underline a secure but moderate growth trajectory. The company's focus on both regulated and renewable energy sources ensures it is well-positioned in the evolving utilities sector. While short-term volatility may impact performance, the long-term outlook remains cautiously optimistic. Investors should weigh the stability of utilities against potential risks inherent in the energy market shifts.