Parker-Hannifin (PH.US) Price Target and Rating 2026/2027

1.060,54
6,38%
Price history for Parker-Hannifin (PH.US) – stock price at 1,060.54 $, August 2026
Parker-Hannifin stock price – price development 2026. Updated Aug 6, 2026.
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Parker-Hannifin Price Target 2026: Analysts See 2% Downside

The average price target for Parker-Hannifin is $1,039.70. This price target represents the analysts' view of the stock price over the next 12 months. The stock appears overvalued, because the price target is lower than the current price. It is -1,97% above the target, and analysts expect the price to fall over the next 12 months. Even if the stock may be overvalued, price momentum can last longer than expected. That is why it is important to keep an eye on the stock and its momentum on an ongoing basis. WallStreetBuys helps you with the technical analysis and keeps you up to date on the development.

Is Parker-Hannifin overvalued or undervalued?

Parker-Hannifin is currently fairly valued with a gap of 2% relative to the price target.


The current price is $1,060.54, which places Parker-Hannifin in the fairly valued category. The stock is considered undervalued when the price is below $935.73, and overvalued when the price exceeds $1,143.67.


The fair value range is defined as ±10% of the price target, because price targets are estimates rather than exact values. For Parker-Hannifin, the fair value range lies between $935.73 and $1,143.67.


See the full price target analysis for Parker-Hannifin →

Analyst Ratings for Parker-Hannifin stock in 2026: Buy

26 analysts cover Parker-Hannifin. The majority is positive, with 76.9% recommending Buy, while 19.2% recommend Hold. The average price target is $1,039.70, which is 2% below the current price.

Consensus: Buy (4.35/5)
Strong Buy
16 (61.5%)
Buy
4 (15.4%)
Hold
5 (19.2%)
Sell
1 (3.8%)
Strong Sell Sell Hold Buy Strong Buy
4.35 out of 5 based on 26 analysts

About Parker-Hannifin – Industrimaskiner

Parker-Hannifin, eller PH, laver og sælger teknologier til styring af bevægelse og væsker. De tjener penge på at udvikle avancerede systemer til industri, mobil og luftfart. Virksomheden driver to hovedområder: Industriel og Aerospace. Inden for industri laver Parker-Hannifin alt fra pneumatiske aktuatorer og regulatorer til forskellige typer filtre, for eksempel til naturgas. De sælger også specialiserede komponenter som kryogene ventiler og tætninger til høje temperaturer. De har en global rækkevidde og opererer i mange lande. Deres luftfartsdivision leverer komplekse systemer til fly. Parker-Hannifin er kendt for at levere præcise løsninger til komplekse maskiner. Read more about the company

Key Figures for Parker-Hannifin

$ 125B Market cap
$ 21,0B Revenue
Industrimaskiner Industry
36.76 P/E
5.96 P/S
8.43 P/B
USA Listed on exchange
parker.com Website
Industri Sector

What kind of stock is Parker-Hannifin?

Quality stock Momentum stock

Parker-Hannifin is classified as a quality stock and momentum stock. This means the stock combines several attractive traits, strong financial health (Piotroski 7/9), and strong price momentum.

Score Overview for Parker-Hannifin

💰 Value Score 27/100 (Low)
⭐ Quality Score 77/100 (High)
🚀 Momentum Score 80/100 (Very High)
📊 Total Score 61/100

📈 Valuation

Parker-Hannifin trades at a P/E ratio of 36.8, which is above the market average. The forward P/E is 28.7 (22% lower), which suggests the market expects rising earnings. The P/S ratio is 6.0 (high — the market pays a premium for the revenue). The P/B ratio is 8.4. The PEG ratio is 3.82 — above 2.0 suggests the stock is expensive relative to its growth rate.

💵 Profitability & Growth

Parker-Hannifin has a profit margin of 16.6% (solid) and an operating margin of 21.5%. Return on equity (ROE) is 24.8% — excellent return on equity. Return on assets (ROA) is 9.5%. The latest quarterly earnings grew -4.2% year over year — falling earnings.

🏦 Financial Health

The Piotroski score is 7 out of 9 — good financial health. Altman Z2 is 4.68 (healthy balance sheet — low risk). The debt-to-equity ratio (D/E) is 142.6% — moderate debt.

🚀 Momentum & Short Interest

Short interest is 1.16% — low, the market does not expect a decline.

Parker-Hannifin Dividend 2026: 0.7% Dividend Yield

Dividend Key Figures for Parker-Hannifin in 2026

Dividend yield
0.72%
Dividend per share
2.00 USD
Payout ratio
32.1%
Healthy
Dividend growth (5 years)
+166.3%
Avg. annual dividend (3 years)
6.39 USD

When does Parker-Hannifin pay a dividend in 2026?

Latest ex-dividend date (traded without the dividend)
May 8, 2026
Next dividend payment
June 5, 2026
Latest payment date
June 5, 2026

How much does Parker-Hannifin pay in dividends?

Parker-Hannifin pays dividends to its shareholders. The most recently paid dividend was 2.00 USD per share, which corresponds to a dividend yield of 0.72%. Over the last 5 years, the annual dividend has grown by 166.3%, which shows positive dividend growth.

The payout ratio is 32.1%, which is considered healthy and sustainable. The company balances rewarding shareholders with reinvesting in growth.

Historical Dividend Payments for Parker-Hannifin

We have registered dividend payments for Parker-Hannifin since 2020-05-07. In that period the stock has paid a dividend 31 times, most recently on 2026-05-08. This stock qualifies as a stable dividend stock, because it has paid a dividend at least once a year for the last 5 years. That makes it attractive to investors looking for steady, regular dividend payments.

Ex-datePayment dateAmountCurrencyPeriod
2026-05-082026-06-052.00USDUnknown period
2026-05-082026-06-052.00USDUnknown period
2026-05-082026-06-052.00USDUnknown period
2026-05-082026-06-052.00USDUnknown period
2026-05-082026-06-052.00USDUnknown period
2026-05-082026-06-052.00USDUnknown period
2026-05-082026-06-052.00USDUnknown period
2026-02-062026-03-061.80USDUnknown period
2025-11-072025-12-051.80USDUnknown period
2025-09-022025-09-121.80USDUnknown period
2025-05-092025-06-061.80USDUnknown period
2025-02-072025-03-071.63USDUnknown period
2024-11-082024-12-061.63USDUnknown period
2024-08-282024-09-131.63USDUnknown period
2024-05-092024-06-071.63USDUnknown period
2024-02-082024-03-011.48USDUnknown period
2023-11-102023-12-011.48USDUnknown period
2023-08-252023-09-081.48USDUnknown period
2023-05-112023-06-021.48USDUnknown period
2023-02-092023-03-031.33USDUnknown period
2022-11-102022-12-021.33USDUnknown period
2022-08-262022-09-091.33USDUnknown period
2022-05-122022-06-031.33USDUnknown period
2022-02-102022-03-041.03USDUnknown period
2021-11-102021-12-031.03USDUnknown period
2021-08-262021-09-101.03USDUnknown period
2021-05-062021-06-041.03USDUnknown period
2021-02-092021-03-050.88USDUnknown period
2020-11-052020-12-040.88USDUnknown period
2020-08-272020-09-110.88USDUnknown period
2020-05-072020-06-050.88USDUnknown period

Insider Trading in Parker-Hannifin 2026: The Signal Is negative

In 2026, insiders at Parker-Hannifin have made 20 transactions, all of which were sales. On a net basis, insiders took 100,163,300 $ out of the stock. Active insiders include Scott Patrick, Ross Andrew D, Reidy Jay and others.

Short-Term Signal (3 months): No activity

There has been no insider trading in the last 3 months.

Long-Term Signal (all transactions): Negative

Insiders have exclusively sold shares in the recent period. This can suggest management sees limited opportunity.

Across the last 20 transactions: 0 purchases and 20 sales. A net 100,163,300 $ out of the stock.

Latest sale: Scott Patrick sold 3,811 shares at 954 $ each on 2026-04-22.

Who is selling: Scott Patrick, Ross Andrew D, Reidy Jay, Parmentier Jennifer A, Parel Dinu J and others.

Latest Insider Trades in Parker-Hannifin (2026)

The table shows the last 20 reported insider transactions in Parker-Hannifin. Green rows are purchases, red rows are sales. The data is based on official filings.

Transaction date Name Type Number of shares Price per share ($) Total amount ($)
2026-04-22 Scott Patrick Sell 3,811 954 3,637,333
2026-04-22 Ross Andrew D Sell 9,837 954 9,388,728
2026-04-22 Reidy Jay Sell 3,725 954 3,555,252
2026-04-22 Parmentier Jennifer A Sell 29,808 954 28,449,649
2026-04-22 Parel Dinu J Sell 4,467 954 4,263,439
2026-04-22 Leonti Joseph R Sell 4,546 954 4,338,839
2026-04-22 Leombruno Todd M. Sell 8,343 954 7,962,809
2026-04-22 Jacobson Matthew A. Sell 1,424 954 1,359,108
2026-04-22 Ives Angela R Sell 1,563 954 1,491,774
2026-04-22 Hart Mark J Sell 4,467 954 4,263,439

Who is buying and selling Parker-Hannifin shares in 2026?

The following insiders have sold shares: Scott Patrick, Ross Andrew D, Reidy Jay, Parmentier Jennifer A, Parel Dinu J and others. In total, 100,163,300 $ was sold across 20 transactions. Insider trades are legal transactions in which executives and board members buy or sell shares of their own company. These transactions are reported to the SEC and are publicly available.

Parker-Hannifin Short Selling 2026: 1.2% Sold Short

Low short interest: 1.2% of the free float
Short % of free float
1.2%
Assessment
Low short interest
Short squeeze risk
Low
Data source
SEC
Updated daily
The stock has a low share of short selling. Less than 2% of the freely traded shares are sold short, which points to limited bearish sentiment.

Data is updated daily based on official filings with the SEC.
Short Interest Scale
0% 2% 5% 10% 20%+
Low Moderate High Very High Extreme
1.2%

Parker-Hannifin Earnings – ⚡ Reporting TODAY 8/6/2026

The next earnings date for Parker-Hannifin is not yet available. Check the company's investor calendar for more information.



Technical Analysis of Parker-Hannifin 2026 – Signal: Strong Buy

Overall Technical Signal: Strong Buy

Based on trend analysis (SMA50/SMA200) and MACD trend (positive/negative on a daily + weekly basis). Updated August 6, 2026.

Technical analysis of Parker-Hannifin (PH.US) – RSI 60, MACD positive (bullish), daily candlestick chart August 2026
Parker-Hannifin technical analysis – candlestick chart with RSI and MACD. Updated Aug 6, 2026.

Trend Analysis of Parker-Hannifin Corporation

Parker-Hannifin Corporation is in a short-term uptrend. The price of $996.90 is 2.8% above the 20-day average ($970.03). Medium term, the picture is positive: the price is 6.3% above the 50-day average ($937.61). Long term, the stock is 9.7% above the 200-day average ($908.74), which confirms a long-term uptrend.

Golden Cross: The 50-day average (937.61) is above the 200-day average (908.74), which is a classic bullish signal for Parker-Hannifin Corporation.

Is Parker-Hannifin Corporation overbought or oversold?

Parker-Hannifin Corporation has an RSI of 60.5. The stock shows positive momentum in the upper part of the neutral zone. Combined with the positive trend, this supports the bullish picture.

MACD Analysis for Parker-Hannifin Corporation

Daily MACD: MACD is positive (12.723), which means the short-term trend is bullish (the 12-day EMA is above the 26-day EMA). MACD is above the signal line (11.784) by 0.939, which confirms rising momentum in the uptrend.

Weekly MACD: MACD5 is positive (24.636), which indicates a broader bullish long-term trend. MACD5 is above the signal line (20.546) by 4.090, which confirms rising long-term momentum.

Overall MACD assessment: Both the daily and weekly MACD are positive and above their signal lines. Trend and momentum confirm each other across time horizons – the strongest bullish signal.

Risk Profile for Parker-Hannifin Corporation

Parker-Hannifin Corporation has an annual standard deviation of 25.5%, which classifies the stock as moderately low risk. There is some volatility, but the price is relatively stable.

Overall Technical Conclusion for Parker-Hannifin Corporation

Trend: Positive. The price trades above SMA50 and SMA200.

MACD trend (zero line): Daily bullish (12.723). Weekly bullish (24.636).

MACD momentum (signal): Daily rising. Weekly rising.

RSI: 60.5 – neutral.

Technical signal: Strong Buy

The price is in an uptrend (above SMA50/SMA200) and MACD is positive on both a daily and weekly basis. Trend and MACD trend confirm each other – the strongest technical buy signal.

Frequently Asked Questions About Parker-Hannifin stock in 2026

Should you buy Parker-Hannifin stock now?
Yes, the technical signal for Parker-Hannifin is currently BUY. Parker-Hannifin trades at $1,060.54 as of 8/6/2026. The overall technical signal is: Strong Buy. The technical analysis shows the following: MACD is positive (bullish trend) at 12.723 with rising momentum (signal: 11.784); RSI is at 60.5 (neutral zone); the stock is in a short-term uptrend (price above the 20-day average); the analyst price target of $1,039.70 is 2.0% below the current price. The stock is in a broader uptrend (above SMA50/SMA200). This is a technical observation based on current data, not investment advice.
What is the price target for Parker-Hannifin stock?
The average analyst price target for Parker-Hannifin is $1,039.70. The current price is $1,060.54, which gives a downside of 2.0%. Based on this, the stock is considered fairly valued. The fair value range (±10% of the price target) is between $935.73 and $1,143.67.
Is Parker-Hannifin a dividend stock?
Yes, Parker-Hannifin is a dividend stock with a dividend yield of 0.72%. The latest dividend was $2.00 per share. The latest ex-dividend date (traded without the dividend) was 5/8/2026. The payout ratio is 32.1%, which is considered sustainable. The next dividend payment is scheduled for 6/5/2026.
When does Parker-Hannifin pay a dividend in 2026?
Parker-Hannifin pays its next dividend on 6/5/2026. The latest dividend was $2.00 per share with an ex-dividend date of 5/8/2026. The dividend yield is 0.72%. The payout ratio of 32.1% points to a sustainable dividend with room to grow.
What is the risk of Parker-Hannifin stock?
Parker-Hannifin is rated as a stock with moderately low risk. the annual standard deviation is 25.5%, which classifies the stock as moderately low risk.
Is Parker-Hannifin overvalued?
Parker-Hannifin is considered fairly valued – the price is close to the analyst price target. Parker-Hannifin has the following valuation ratios: a P/E ratio of 36.8 (highly valued), a P/S ratio of 6.0, a P/B ratio of 8.4. The stock trades close to the analyst price target and is considered fairly valued.
Is Parker-Hannifin overbought?
No, Parker-Hannifin is not overbought. RSI is at 60.5 (neutral zone). The technical indicators show: RSI is at 60.5 (upper neutral zone), which shows positive momentum but is not yet overbought. In addition, the price is 9.3% above the 20-day average (short-term uptrend). In addition, MACD is positive with rising momentum (bullish).
When is the next Parker-Hannifin earnings report?
Parker-Hannifin reports earnings TODAY, August 6, 2026! The stock currently trades at $1,060.54. Watch how the price reacts after the release. With a P/E ratio of 36.8, the market will be watching closely whether earnings meet expectations.
Is Parker-Hannifin shorted?
Yes, Parker-Hannifin is shorted with 1.2% of the free float sold short. This is a moderate level of short selling, within the normal range for most stocks. Data is updated daily based on official filings with the SEC.
Are insiders buying Parker-Hannifin stock?
No, insiders are not buying Parker-Hannifin shares – they are net sellers. Across the last 20 reported transactions, the split is 0 purchases and 20 sales, with a net 100,163,300 $ sold. Active sellers include Scott Patrick, Ross Andrew D, Reidy Jay and others. Insider selling can have several explanations (e.g. planned 10b5-1 sales, portfolio diversification or taxes), but sustained selling by several insiders is worth watching closely.
Is Parker-Hannifin a good stock?
Based on our total score, Parker-Hannifin is rated as a good stock with a total score of 61 out of 100. The stock scores above average on value, quality and momentum – it is among the top 39% in our database. The score is made up of Value: 27/100, Quality: 77/100, Momentum: 80/100. In addition: a dividend of 0.72%; technical signal: Strong Buy. Whether Parker-Hannifin is a good investment depends on your time horizon, risk profile and portfolio. This is a data-driven observation, not investment advice.
What is the outlook for Parker-Hannifin stock?
The outlook for Parker-Hannifin based on current data: the average analyst price target is $1,039.70 (-2.0%); the stock is in an uptrend (above SMA50 and SMA200); the next earnings report is due on 8/6/2026, which can move the price; the P/E ratio is 36.8 (high – the market expects growth). Keep in mind that stock prices are affected by many factors, including earnings reports, the economy and market sentiment. Past returns are no guarantee of future returns.
Why is Parker-Hannifin stock rising?
Parker-Hannifin is rising right now. The technical indicators show: the price is 9.3% above the 20-day average; MACD is positive with rising momentum (bullish signal); insiders have mostly been selling the stock recently. For the latest context, see our technical analysis, insider section and news overview above.
How high can Parker-Hannifin go?
The average analyst price target for Parker-Hannifin is $1,039.70, which is 2.0% below the current price of $1,060.54. Keep in mind that price targets are estimates, not guarantees. Actual price moves depend on earnings, market conditions and unexpected events.
How low can Parker-Hannifin fall?
We lack enough history to give a specific floor for Parker-Hannifin. Remember: past price swings are no guarantee for the future — a stock can fall further than the last 52 weeks suggest, especially on profit warnings, sector crises or a market crash. Use stop-loss orders and spread your portfolio to limit losses in single stocks.
What does Parker-Hannifin do?
Parker-Hannifin, eller PH, laver og sælger teknologier til styring af bevægelse og væsker. De tjener penge på at udvikle avancerede systemer til industri, mobil og luftfart. Virksomheden driver to hovedområder: Industriel og Aerospace. Inden for industri laver Parker-Hannifin... The company belongs to the Industri sector, more specifically the Industrimaskiner industry, is headquartered in USA, and is traded on the USA Stocks. See the key figures, earnings history and price development above to evaluate Parker-Hannifin as an investment.
Did Parker-Hannifin raise or lower its guidance?
Over the last 60 days we have not registered a guidance raise or cut from Parker-Hannifin. The company can still adjust its guidance at quarterly reports or between reports — see the earnings history and the news overview above.
Is Parker-Hannifin making money or losing money?
Yes, Parker-Hannifin is making money, not losing it. The company has a profit margin (the share of revenue left over as profit) of 16.6% — which is solid. The operating margin (profit before interest and taxes) is 21.5%. At a P/E ratio of 36.8, you currently pay 36.8 dollars for every dollar of the company's annual earnings. A consistently profitable company is usually more resilient than growth stocks that are not yet making money.
Can Parker-Hannifin go bankrupt?
The bankruptcy risk of Parker-Hannifin is rated as low. Altman Z2 (a model for assessing financial distress) is 4.68 — that places the company in the healthy zone. The company has a healthy balance sheet with limited debt relative to earnings and assets. The Piotroski score (financial health 0-9, higher is better) is 7 — which is strong. Debt relative to equity is 143% (moderate). Remember: models like Altman Z2 are statistical — unexpected shocks (fraud, a sector collapse, lawsuits) can always happen. Spread your portfolio.
Does Parker-Hannifin have a lot of debt?
Parker-Hannifin has moderate debt relative to equity. The debt-to-equity ratio (D/E — interest-bearing debt to equity) is 143%. For the industri sector, 80-150% counts as a typical level. Note: D/E levels are highly sector-specific — a bank at 300% debt is normal, a tech stock at 300% is extremely leveraged. Always compare with similar companies in the same sector. Can Parker-Hannifin service its debt? Can service its debt without problems — the interest coverage ratio (how many times earnings can cover interest payments) is 12.3x, and net debt equals 1.7 years of earnings (EBITDA).