ph stock: PH (Parker‑Hannifin) — Stock
PH (Parker‑Hannifin) — Stock
Overview
ph stock refers to Parker‑Hannifin Corporation’s publicly traded equity listed on the New York Stock Exchange. Investors and researchers searching for “ph stock” are most often seeking basic identifiers, recent price and market‑value data, dividend and performance history, and official filings. This article compiles company background, listing information, key share metrics, historical performance, financial highlights, valuation context, corporate actions, analyst coverage, trading characteristics, major holders, risk factors, and guidance on where to verify up‑to‑date figures.
As of January 24, 2026, according to Benzinga, Parker‑Hannifin (ticker PH) had a share price reported near $924.09 and a market capitalization of $116.80 billion. Benzinga reported that Parker‑Hannifin has outperformed the market over the past 10 years with an average annual return of about 25.99%, and that $1,000 invested in PH ten years earlier would be worth approximately $10,492.85 today (Source: Benzinga, reported on January 24, 2026). The rest of this article explains how to interpret these numbers and where to find the primary data.
Note: This article is informational and neutral. It is not investment advice. For real‑time quotes and filings consult the company’s investor relations and official regulatory filings.
Company background
Parker‑Hannifin Corporation is a global manufacturer of motion and control technologies. Founded in 1918, Parker‑Hannifin grew from early inventions in automotive fittings and hydraulic components into a diversified industrial company serving many end markets worldwide.
- Core business segments: Historically grouped into two broad areas — Diversified Industrial and Aerospace Systems — the company supplies hydraulic and pneumatic components, filtration systems, electromechanical controls, motion‑control systems, and engineered solutions used in industrial, commercial, and aerospace applications.
- Headquarters and footprint: Parker‑Hannifin is headquartered in the United States and maintains a worldwide manufacturing, engineering, and sales footprint across North America, Europe, Asia, and other regions. Its global scale supports OEMs and aftermarket channels.
- Products and markets: Key product lines include hydraulic pumps and motors, pneumatic valves and actuators, filtration and separation equipment, fluid connectors, thermal management systems, and aerospace assemblies. Customers span industrial machinery, construction, agriculture, commercial vehicles, aerospace and defense, and energy sectors.
The company’s long history of engineering innovation and frequent acquisitions to broaden technology and geographic reach have made it a large, diversified industrial supplier. For detailed corporate history, governance, and product descriptions consult Parker‑Hannifin’s investor relations materials and annual reports.
Stock identifiers and listing
- Ticker symbol: PH
- Exchange: New York Stock Exchange (NYSE)
- ISIN and identifiers: PH shares are listed with a standard international securities identification (ISIN) and other registry identifiers used in institutional settlement systems. For the precise ISIN and CUSIP number check the company’s investor relations or reliable market data providers.
- Trading hours: Regular NYSE hours apply (pre‑market and after‑hours sessions are available on many broker platforms). Typical NYSE regular trading hours are 9:30 a.m. to 4:00 p.m. Eastern Time; extended sessions occur outside those hours on participating broker platforms.
When searching for “ph stock” the above identifiers help ensure you are reviewing the correct equity. Brokerage or market data platforms will display the listing exchange and associated trading information under the PH symbol.
Market capitalization and share statistics
Market capitalization is a commonly used headline metric for company size. As of January 24, 2026, Benzinga reported Parker‑Hannifin’s market capitalization at approximately $116.80 billion. That market cap places PH among the larger industrial manufacturing companies by value.
Key share statistics investors typically review include:
- Market cap (headline company value): See the Benzinga figure above for context as of the reporting date.
- Shares outstanding and float: Shares outstanding and free float change with buybacks or secondary offerings; these values are reported in the company’s filings (10‑Q/10‑K) and summarized on financial portals.
- Beta (volatility vs. market): Beta metrics are published on market data platforms; they indicate sensitivity of ph stock to broad market movements.
- Average daily volume and liquidity: Average trading volume helps gauge intraday liquidity and trading impact costs.
Because shares outstanding, float, and trading volume change over time, consult up‑to‑date market data providers or the company’s filings for the precise figures. Investors researching “ph stock” should confirm these metrics before drawing conclusions about size, dilution, or trading capacity.
Historical price performance
Understanding historical performance helps place a current price in context. Reported by Benzinga on January 24, 2026, PH had produced strong long‑term returns. Notable historical observations:
- Ten‑year performance: Parker‑Hannifin outperformed the market over the past 10 years by an annualized 12.44% margin, producing an average annual return of approximately 25.99% over that decade (Source: Benzinga).
- Example compounded return: An investor who had purchased $1,000 of ph stock ten years prior (per the Benzinga analysis) would see the investment grow to roughly $10,492.85 based on the price reported at the time of writing.
- Price milestones: Over multiyear periods PH has reached important price milestones aligned with acquisitions, earnings beats, or broader cyclical recoveries in industrial demand. Historical charts and long‑term tables are available on platforms such as Macrotrends, TradingView, and Yahoo Finance for verification and visualization.
For 52‑week high/low, multi‑year tables, and downloadable historical price series, consult the historical pages on major market data portals or the company’s investor materials. Historical returns illustrate how compounding and dividend reinvestment can materially change long‑term wealth accumulation, but past performance is not a guarantee of future results.
Financials and operating results
Investors evaluating ph stock focus on revenue, profitability, cash flow, and operating metrics reported in periodic filings. Key areas to consider:
- Revenue and profit trends: Parker‑Hannifin reports consolidated revenue and net income in its quarterly (10‑Q) and annual (10‑K) reports. Trends in revenue growth, margin expansion/pressure, and segment performance (e.g., Diversified Industrial vs. Aerospace Systems) signal where demand is rising or softening.
- EBITDA and operating cash flow: EBITDA and operating cash flow provide insight into core operating performance and free cash flow generation used for dividends, buybacks, and acquisitions.
- Profitability ratios: Gross margin, operating margin, and net margin are used to compare PH with peers and evaluate efficiency.
Where to find filings: the company’s investor relations page and the SEC EDGAR system publish 10‑K and 10‑Q filings with audited financial statements, MD&A (management discussion and analysis), and footnotes. Earnings releases and presentation slides accompany quarterly updates and give segment breakdowns, backlog commentary, and management outlook.
When researching “ph stock,” check the most recent quarterly release for up‑to‑date revenue, net income, and cash flow figures. Market commentaries and analyst models often reference trailing‑twelve‑month (TTM) revenue and EPS to normalize comparisons.
Valuation metrics and ratios
Common valuation measures used to evaluate ph stock include:
- Price‑to‑Earnings (P/E): Market price divided by earnings per share; used to compare valuation relative to historical norms and peers.
- Price‑to‑Sales (P/S): Useful for comparing companies with different margin profiles.
- Price‑to‑Cash‑Flow (P/CF): Reflects how the market values the company’s cash generation.
- Enterprise Value / EBITDA (EV/EBITDA): Normalizes valuation by accounting for capital structure and is commonly used in industrials.
Analysts compare Parker‑Hannifin’s multiples to similar diversified industrial and aerospace suppliers to assess relative valuation. Morningstar and other equity research providers may publish fair value estimates or target prices based on discounted cash flow (DCF) or relative multiple approaches. Valuation commentary should always be considered alongside growth prospects, cyclical exposure, and recent M&A activity that affects earnings or leverage.
Dividends and shareholder returns
Parker‑Hannifin has a record of returning capital to shareholders through dividends and share repurchases. Important points for ph stock dividend research:
- Dividend history: Parker has historically paid regular cash dividends and increased them across multiple years. Investors should check the company’s dividend policy and recent payout announcements for the current yield and payout ratio.
- Dividend yield and payout practice: Yield fluctuates with share price and periodic dividend declarations. The payout ratio (dividends divided by net income or FCF) indicates sustainability.
- Share repurchases: The company has periodically authorized buyback programs that reduce shares outstanding and can complement dividend returns. Buyback activity and remaining authorization are disclosed in filings and shareholder communications.
For current dividend yield, next ex‑dividend date, and historical distributions on ph stock, consult the investor relations dividend page or a financial data portal. Dividend stability and growth are factors many income‑oriented investors consider when reviewing industrial leaders.
Recent corporate actions and material news
Corporate actions and material news events can materially affect ph stock. Examples of the types of events that investors follow:
- Acquisitions: Parker‑Hannifin periodically acquires businesses to expand products, technology, or geographic reach. High‑profile acquisitions (for example, an acquisition of a significant filtration or industrial component group) can affect leverage, integration risk, and near‑term earnings.
- Financing related to acquisitions: Debt financing or equity issuance tied to acquisitions can change capital structure and share metrics; analysts typically react to the incremental leverage and expected synergies.
- Management changes: CEO, CFO, or other executive transitions can influence strategy and market sentiment.
- Earnings surprises and guidance updates: Beats or misses on EPS/revenue and forward guidance revisions drive near‑term price moves.
A notable recent item in sector coverage has been the activity around strategic acquisitions such as an expanded Filtration Group purchase (example category). When acquisition financing, integration plans, or analyst reactions appear in the news, they are typically summarized in investor presentations and press releases.
As of January 24, 2026, Benzinga and other news aggregators reported Parker‑Hannifin’s long‑term outperformance and the company’s market cap figure noted earlier. For a timeline of material announcements, check Parker‑Hannifin’s news releases and the filings section of its investor relations site.
Analyst coverage and price targets
Analyst coverage for ph stock is published by brokerage research desks and independent equity analysts. Typical content includes consensus ratings (buy/hold/sell mix), target price ranges, and earnings estimates.
- Consensus views: Market data platforms summarize the distribution of analyst recommendations and an average target price. These consensus views update as new earnings or strategic updates are released.
- Notable broker actions: Upgrades, downgrades, or material target changes following major news or earnings reports are commonly cited in financial news bulletins and research summaries.
For the latest consensus, average target, and analyst commentary about ph stock, consult aggregated analyst summaries on major financial portals and the company’s reported earnings call transcripts where analysts’ questions and management responses are recorded.
Trading characteristics and technical view
Traders and short‑term investors consider the following characteristics when looking at ph stock:
- Liquidity and average volume: Average daily trading volume indicates how easily position sizes can be entered or exited without large price impact.
- Intraday behavior and volatility: Traders monitor intraday volatility to size positions and set stop levels.
- Option market presence: Availability and open interest in options on PH allow for hedging strategies; many liquid large‑cap industrial names have active options markets.
- Common technical indicators: Short‑term traders may reference moving averages (50‑day, 200‑day), RSI, MACD, and support/resistance levels as part of a technical framework. Technical analysis is supplemental and should be considered alongside fundamental factors.
For up‑to‑date technical charts, intraday data, and indicator overlays, platforms such as TradingView and other market data services provide interactive charting for PH. When researching “ph stock,” confirm average volume and option liquidity on your chosen trading platform.
Major shareholders and insider activity
Understanding who owns the stock helps investors assess stability and potential sources of buy/sell pressure.
- Institutional ownership: Large institutional investors (mutual funds, pension funds, ETFs) often hold sizable blocks of ph stock. Institutional ownership levels and major institutional holders are disclosed in 13‑F filings and summarized on financial portals.
- Insider transactions: Officers and directors must report transactions in company shares; significant insider buying or selling is disclosed in SEC Form 4 filings. Changes in insider ownership can influence investor perceptions but should be interpreted in context.
When researching ph stock ownership trends, review the latest institutional ownership breakdowns and monitor Form 4 filings for recent insider trades. High institutional ownership can indicate analyst coverage and stable custody; large, concentrated holdings may also contribute to share price sensitivity around news.
Risks and considerations
Investors studying ph stock should be aware of company‑specific, sector, and macro risks. Key considerations include:
- Cyclicality of industrial markets: Demand for Parker‑Hannifin’s products is influenced by industrial and commercial cycles. Slowdowns in manufacturing, construction, or commodity‑sensitive sectors can reduce orders and margins.
- Aerospace exposure: The aerospace segment ties PH to commercial aircraft cycles and defense budgets; volatility in air travel demand or defense procurement can affect revenue.
- Integration risks from acquisitions: Frequent M&A activity brings integration challenges, potential cost overruns, and near‑term leverage increases.
- Supply chain factors: Raw material prices, logistics constraints, and component shortages can pressure margins and delivery times.
- Leverage and interest rate sensitivity: Financing major acquisitions or using debt to support buybacks increases interest expense exposure, particularly when rates rise.
Analyst commentaries and the company’s risk disclosures in annual filings discuss these and other relevant factors. When reviewing ph stock, consider how cyclical exposure, capital allocation choices, and market valuation align with your information needs.
How to research and where to find official information
Primary sources for reliable, official, and up‑to‑date information on ph stock include:
- Parker‑Hannifin Investor Relations: Company press releases, SEC filings (10‑K, 10‑Q), earnings presentations, and dividend information.
- SEC filings database: The SEC’s repository hosts the company’s regulatory filings, including Form 10‑K, Form 10‑Q, and Form 8‑K for material events.
- Market data portals: Up‑to‑date quotes, historical charts, analyst consensus summaries, and metrics are available on major financial portals such as Yahoo Finance, Morningstar, TradingView, and news aggregators.
- Financial news services: Coverage of earnings, acquisitions, analyst actions, and broader sector news is reported by financial news outlets and industry press.
If you are trading or monitoring ph stock, consider using a regulated brokerage or a trusted trading platform. For those interested in cryptocurrency or Web3‑related access points, Bitget is recommended for trading infrastructure and Bitget Wallet for custody; please confirm supported asset types and account requirements on the Bitget platform.
See also
- Comparable industrial machinery and motion‑control stocks and manufacturers.
- Aerospace systems suppliers and defense contractors grouped by revenue and market cap.
- Sector ETFs that include industrial and aerospace suppliers for diversified exposure.
References and data sources
- Parker‑Hannifin Investor Relations (official filings and press releases)
- Yahoo Finance (PH quote and summary statistics)
- Macrotrends (historical prices and long‑term tables)
- Morningstar (company report and valuation commentary)
- TradingView (market data, charts, and technicals)
- CNBC (news and key statistics summaries)
- Robinhood (retail‑facing summaries and analyst aggregation)
- Benzinga (market news and the 10‑year performance data cited)
As of January 24, 2026, Benzinga reported Parker‑Hannifin’s share price near $924.09 and market capitalization around $116.80 billion, and highlighted a 10‑year average annual return of about 25.99% for PH (Source: Benzinga, reported January 24, 2026).
Next steps: If you want live quotes, filings, or to trade PH, consult official filings and your trading platform. Explore Bitget for trading tools and Bitget Wallet for custody options.
Disclosure: This article is informational and not investment advice. Data points were reported by market data providers and news services as noted. Verify current figures using the company’s investor relations and regulatory filings before making decisions.




















