PH vs ETN Comparison: AI Score, Valuation, Performance and Upside
Compare Parker Hannifin and Eaton by electrification exposure, aerospace vs industrial segment mix, margin expansion trajectory, acquisition integration, and which industrial conglomerate offers better long-term value.
Use this Parker Hannifin vs Eaton comparison to evaluate the key differences across valuation, growth, profitability, and risk before making an investment decision.
PH holds the edge across 3 of 5 key metrics in this comparison. PH has delivered stronger 1-year price return (+35.35% vs +4.98%), though ETN has the better forward P/E setup (25.35x vs 27.93x for PH). On fundamentals, ETN is growing revenue faster (16.80%), while PH maintains the higher operating margin (21.53%) — a classic growth-versus-profitability split. Analyst consensus implies meaningfully more upside for ETN (+13.95%) than for PH (+9.07%).
| Metric | PH | ETN |
|---|---|---|
| AI score | 61.6 | 60.1 |
| AI rank | #179 | #197 |
| Latest close | $987.54 | $404.07 |
| 1M return | +2.75% | -0.13% |
| 6M return | +6.42% | +21.99% |
| 1Y return | +35.35% | +4.98% |
How much would $10,000 be worth today if invested at the start of each period, with all dividends reinvested?
| Period | PH | ETN |
|---|---|---|
| 1Y ago | $13.37K (+33.7%) started 2025-07-25 | $10.3K (+3.0%) started 2025-07-25 |
| 5Y ago | $35.76K (+257.6%) started 2021-07-26 | $29.74K (+197.4%) started 2021-07-26 |
| 10Y ago | $118.15K (+1081.5%) started 2016-07-25 | $97.65K (+876.5%) started 2016-07-25 |
Hypothetical — past performance does not guarantee future results.
| Metric | PH | ETN |
|---|---|---|
| Market cap | $120.19B | $155.32B |
| Trailing P/E | 35.21 | 39.06 |
| Forward P/E | 27.93 | 25.35 |
| Price/Sales | N/A | N/A |
| EV/Revenue | 6.16 | 6.19 |
| Analyst target | $1,039.70 | $455.79 |
| Target upside | +9.07% | +13.95% |
| Metric | PH | ETN |
|---|---|---|
| Revenue growth | 10.60% | 16.80% |
| Earnings growth | -4.20% | -9.40% |
| EPS growth | -4.20% | -9.40% |
| FCF margin | +13.22% | +9.28% |
| Operating margin | 21.53% | 16.10% |
| Profit margin | 16.58% | 13.99% |
| ROIC proxy | 24.84% | 20.84% |
| Return on equity | 24.84% | 20.84% |
| Dividend yield | 0.84% | 1.10% |
| Beta | 1.11 | 1.18 |
| Debt/equity | 65.55 | 110.46 |
| Current ratio | 1.13 | 1.19 |
| Quick ratio | 0.60 | 0.69 |
Lower drawdown and smaller single-period drops generally indicate a smoother ride, though they do not guarantee lower future risk.
| Period | Metric | PH | ETN |
|---|---|---|---|
| 1Y | Growth | +33.66% | +3.03% |
| CAGR | +33.78% | +3.04% | |
| Sharpe ratio | 1.10 | 0.14 | |
| Max drawdown | 19.52% | 19.59% | |
| Max daily drop | 4.32% | 7.36% | |
| Max wkly drop | 10.94% | 10.86% | |
| 5Y | Growth | +237.67% | +177.23% |
| CAGR | +27.58% | +22.64% | |
| Sharpe ratio | 0.84 | 0.67 | |
| Max drawdown | 28.64% | 34.46% | |
| Max daily drop | 11.49% | 15.56% | |
| Max wkly drop | 14.00% | 14.45% | |
| 10Y | Growth | +913.38% | +679.94% |
| CAGR | +26.07% | +22.81% | |
| Sharpe ratio | 0.75 | 0.68 | |
| Max drawdown | 54.68% | 44.55% | |
| Max daily drop | 16.69% | 15.56% | |
| Max wkly drop | 30.59% | 24.11% |
| Category | PH | ETN |
|---|---|---|
| Company | PH | ETN |
| Sector | Industrials | Industrials |
| Industry | N/A | N/A |
| Core business | N/A | N/A |
| Investor focus | N/A | N/A |
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