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NSC

Norfolk Southern·NYSE
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3.42 / 10
Netural

Fundamental analysis yields a modest 3.42/10 score, reflecting mixed factor performance. Strong points include high ROE, asset returns and cash‑up, while current assets turnover and cash flow ratios lag. Overall, fundamentals are sub‑par, urging selective exposure.

Fundamental(3.42)SentimentTechnical

Analysis Checks(7/10)

Operating cycle
Value57.34
Score2/3
Weight9.31%
1M Return3.02%
Days sales outstanding
Value30.40
Score2/3
Weight8.11%
1M Return2.60%
Net cash flow from operating activities / Operating revenue (%)
Value35.80
Score1/3
Weight7.62%
1M Return2.56%
Rate of return on total assets (%)
Value10.03
Score3/3
Weight12.81%
1M Return3.97%
Current assets turnover ratio
Value3.81
Score1/3
Weight10.90%
1M Return3.51%
Cash-UP
Value-0.16
Score3/3
Weight9.30%
1M Return2.71%
Net cash flow from operating activities / Total liabilities (%)
Value0.15
Score2/3
Weight10.52%
1M Return3.47%
Annualized return on total assets (%)
Value10.03
Score3/3
Weight12.81%
1M Return3.97%
ROE (diluted) (%)
Value18.48
Score1/3
Weight7.52%
1M Return2.45%
Asset-MV
Value-0.55
Score2/3
Weight11.10%
1M Return3.12%
Is NSC undervalued or overvalued?
  • NSC scores 3.42/10 on fundamentals and holds a Fair valuation at present. Backed by its 19.25% ROE, 23.59% net margin, 22.14 P/E ratio, 4.09 P/B ratio, and 10.19% earnings growth, these metrics solidify its Netural investment rating.