Recent
quick returnPopular searches
live pathsNYSE · Industrials
$415.20
▲ +$28.31(+7.32%)4:00 PM ET - vs previous closeiQuote as of Jul 31, 2026, 4:00 PM EDT
NYSE market is closed. Showing the latest available regular-session trade from Jul 31, 2026, 4:00 PM EDT.
Market data source
Chart
Latest 1D session
Trade access
Affiliate disclosure: TECHi may earn a commission on links to broker partners. Read more.
Investor playbook
The current snapshot gives bulls more to work with, but the watch list still controls timing.
Use it for
Entry timing, risk check, and catalyst scan
What has to keep working for US investors to stay interested.
Trend support
+11.3%Current price is above the 200-day average.
Cash yield
2.4%$3.93B free-cash-flow base.
Where the dashboard says the thesis can break or get crowded.
Premium multiple
40.67Trailing P/E is high enough that earnings misses can matter fast.
Catalysts and positioning checks that are not duplicate live-pulse metrics.
Latest catalyst
YahooEaton Corp PLC (ETN) (Q2 2026) Earnings Call Highlights: Record Revenue and Raised Guidance ...
The playbook is derived from quote, analyst, financial, news, and trend snapshots. It is a research workflow aid, not a buy or sell recommendation.
As of Jul 31, 2026, 4:00 PM EDT, Eaton Corporation PLC (ETN) traded at $415.20, a +7.32% move versus the prior close, ranging between $394.41 and $419.36 intraday, and on volume of 4.43M shares. The stock has traded between $311.92 and $436.74 over the past 52 weeks, carries a market capitalization of $161.22B, trades at 40.67x trailing earnings, and yields 1.1% in dividends. Sell-side analysts rate ETN Buy across 33 ratings and carry an average price target of $457.75 (+10.25% implied versus the last quote). ETN's record close stands at $436.74, set on Jun 22, 2026.
Buy analyst tone. Latest catalyst: Eaton Corp PLC (ETN) (Q2 2026) Earnings Call Highlights: Record Revenue and Raised Guidance ... (Yahoo).
Balanced watch. Track record validation (83/100) is the strongest signal; quality trend (41/100) is the main constraint. Model confidence is 42/100 — some inputs are unavailable, so treat this as a directional research screen rather than a forecast. Long-term secular context is tracked separately: 10 Years +712.3% total; yesterday +7.3%. Comparable past signals have verified against subsequent prices 16.7% of the time.
Expected-return math is scaled by beta and realized volatility before confidence is applied.
Short-horizon expected moves are volume-weighted so thin moves get less credit than confirmed tape.
Sector momentum is included beside the broader market regime.
| Enterprise value | $160.75B |
| Price / sales | 5.37 |
| Price / book | 7.96 |
| Operating margin | 10.58% |
| Return on assets | 6.81% |
| EPS (TTM) | $10.21 |
| Beta (5Y) | 1.18 |
Benchmark context
Compare against its sector ETF and the broad market.
Help · FAQ
4 answers covering latest price, analyst view, and sector context.
TECHi displays provider-supplied values only when the corresponding field is present.