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EMA

NYSE
Neutral · 55/100

Emera Inc

Utilities
Utilities

$52.21

2.4%

Updated Today 12:11 PM ET

Report Card

EMA at a glance — five pillars scored 0–100 from real filed financials.

Value
0
Growth
0
Profitability
0
Health
0
Dividends
0

Overall: Neutral · 55/100. A wider, greener shape means more pillars look healthy. Dividends scores 0 when a company pays none — that is a choice, not a flaw.

Price — Past Year

▲ Up 14.8% over the last 12 months

Price 50-day average 200-day averageSource: Yahoo Finance · refreshed daily
Key Metrics

Market Cap

$16.83B

P/E

21.68x

Forward P/E (est.)

19.61x

ROE

7.9%

Revenue Growth

13.4%

EPS Growth

10.6%

Profit Margin

12.0%

FCF Yield

15.6%

Debt / Equity

1.6x

ROIC

5.0%

Interest Coverage

2.73x

Current Ratio

0.66x

Dividend Yield

3.9%

Implied Growth (rev. DCF)

Rating Score

55/100

Business Overview
Research

Emera Inc (EMA) is a large-cap company in the Utilities industry, part of the Utilities sector of the S&P 500, with a market value around $16.83B.

In its latest reported year it generated about $8.78B in revenue.

Our model rates EMA Neutral (55/100) on growth, profitability, financial health, and valuation. The summary below is built from its filed financials and current ratios and refreshes automatically.

Technical Analysis (Educational)
Research

Technical analysis reads price and volume to judge momentum and timing. It complements the fundamentals above — it does not replace them. Here is what EMA's chart says today, with each tool explained.

Trend — moving averages. A moving average is the average closing price over a window, which smooths out daily noise. EMA trades near $52.21, around its 50-day average ($52.41) and 200-day average ($50.29). Price tangled in its moving averages means there is no clear trend — the stock is ranging.

Momentum — RSI. The Relative Strength Index runs 0–100 and measures how strong recent gains are versus losses. Above 70 is "overbought", below 30 "oversold". At 48 it is in neutral territory — neither stretched nor washed out.

MACD. MACD compares two moving averages to flag shifts in momentum. Its histogram is currently positive — short-term momentum is improving.

Volatility — ATR. Average True Range is the typical daily move. EMA's is $0.88 (~1.7% of price), so swings of about that size each day are normal — handy for setting a stop that isn't too tight.

Support & resistance. Over the last month EMA found buyers near $50.86 (support) and sellers near $53.80 (resistance); its 52-week range is $44.86–$54.06. A decisive break beyond either edge often marks the next move.

Volume. The latest session traded 0.2× the 20-day average — lighter than usual, so the move carries less conviction. Rising volume on up-days suggests real buying; on down-days, real selling.

Educational information to help you read a chart — not a recommendation or a forecast. It updates daily as the price and indicators change.

Revenue Growth
Research

4Y CAGR

11.1%

3/4 checks passedRevenue growingRevenue growth beats sector midpointEPS growingEPS growing faster than revenue

Revenue moved from $4.28B in 2016 to $8.78B in 2025, a 8.3% compound annual growth rate. The most recent year grew a steady 13.4% year over year. Consistent top-line growth is one sign of healthy demand.

Profitability
Research
1/4 checks passedProfitableNet margin above sector midpointROE above 12%ROIC above 10%

Gross Margin

Operating Margin

22.5%

Net Margin

12.0%

ROE

7.9%

Emera Inc keeps about 12.0% of each sales dollar as net profit. Return on equity is 7.9% and return on invested capital about 5.0%. Margins are moderate — typical of a competitive but profitable business.

Debt Analysis
Research
1/4 checks passedDebt under 1× equityDebt under 2× equityInterest covered 3×+Short-term bills covered

Total Debt

$19.65B

Net Debt

$19.15B

Net Debt / EBITDA

9.7x

Debt / Equity

1.6x

Leverage: debt-to-equity is 1.6x, and operating profit covers interest about 2.7x, with a current ratio of 0.7x. That is elevated leverage, which raises risk if earnings or rates move against it. It carries roughly $19.65B of total debt against $503.00M of cash.

Cash Flow Analysis
Research
2/2 checks passedPositive free cash flowFCF yield above 2%

Operating CF

$1.80B

Free Cash Flow

-$1.73B

FCF Margin

-19.7%

In the latest year Emera Inc produced about $1.80B of operating cash flow but negative free cash flow as it invested heavily. That is a free-cash-flow yield of about 15.6% on today's price. Strong cash generation funds dividends, buybacks, and reinvestment.

Valuation Analysis
Research
3/3 checks passedPositive earnings (P/E meaningful)P/E below sector's upper bandForward P/E below trailing (earnings growing)

P/E

21.68x

P/S

2.64x

P/B

1.52x

EV / EBITDA

10.63x

EMA trades at 21.7x trailing earnings (about 19.6x on estimated forward earnings), 2.6x sales, and 1.5x book value. That is a fairly typical valuation for a profitable company.

Metrics vs. Sector Range

Where EMA sits versus its Utilities sector peers in the S&P 500.

TTM P/E
21.7xFair
Forward P/E
19.6xFair
P/S ratio
2.6xFair
Revenue growth
13.4%Strong
EPS growth
10.6%Average
Gross margin
Net margin
12.0%Average
ROE
7.9%Weak

Bands show the middle half (25th–75th percentile) of the 22 Utilities companies in the S&P 500 — the peer-relative anchor professional comps analysis uses. Context only — not investment advice.

Sector Peer Comparison

How EMA stacks up against its Utilities peers — valuation, profitability, and growth versus the sector median.

In the Utilities sector (27 S&P 500 companies), EMA ranks #11 of 27 by our overall rating. It trades at roughly in line versus the sector on earnings (21.7x P/E vs. 21.7x median) with a lower return on equity (7.9% vs. 10.4%) and faster revenue growth (13.4% vs. 8.9%).

P/E vs sector

21.7x

median 21.7x

ROE vs sector

7.9%

median 10.4%

Growth vs sector

13.4%

median 8.9%

Sector rank

#11

of 27 by rating

CompanyP/ERev Gr.Rating
EMAThis stock21.7x13.4%Neutral· 55
KEP2.8x3.4%Neutral· 47
FTS23.1x4.3%Neutral· 50
ENLTNot rated
FRVONot rated
HTONot rated
MGEENot rated
MSEXNot rated
Utilities median21.7x8.9%50/100

Valuation vs. quality map

sector medianKEPFTSEMAP/E — cheaper ←→ pricierROE — more profitable ↑

The sweet spot is upper-left: more profitable (higher ROE) for a lower P/E. Dashed lines mark the sector median.

Compare side by side

Peers are the closest Utilities companies by sub-industry and size. Sector median is across all 27 S&P 500 names in the sector. Educational, not a recommendation.

5-Year Projection Model

Project revenue → earnings → price. Edit the assumptions to build your own case.

2030 price target (Base Case)

$0.00 $0.00

vs. $52.21 today · expected CAGR 31%46%

Metric20262027202820292030
Revenue$9.92B$11.21B$12.66B$14.31B$16.17B
Net income$1.19B$1.34B$1.52B$1.72B$1.94B
EPS$9.68$10.94$12.36$13.97$15.78
Share price (low)$125.83$142.18$160.67$181.55$205.16
Share price (high)$212.94$240.62$271.90$307.25$347.19
CAGR (low–high)141% / 308%65% / 115%45% / 73%37% / 56%31% / 46%

Educational model on sample fundamentals — not a forecast or investment advice. Outputs are only as good as your assumptions.

Bull Case

The case for EMA:

  • Revenue is growing 13.4% a year, a sign of real demand.
  • Healthy free-cash-flow yield (~15.6%) funds buybacks and dividends.
  • Pays a 3.9% dividend on top of any price gains.
Bear Case

The case against EMA:

  • Elevated leverage (debt/equity 1.6x) adds financial risk.
  • Interest coverage is thin (2.7x), so debt costs bite.
Key Risks
Research

Balance-sheet risk — debt/equity of 1.6x magnifies the impact of higher rates or weaker earnings.

Market risk — sector rotation, the economic cycle, and broad sentiment move the stock regardless of fundamentals.

Investment Thesis
Research

On balance, the picture is mixed: Emera Inc is a large-cap utilities business still growing nicely, with solid profitability, and a heavier debt load to watch. It trades at 21.7x earnings, which our model scores Neutral (55/100). Weigh this against your own goals and time horizon — this is educational information, not a recommendation.

EMA — frequently asked questions

Is EMA a good stock to buy?

We don't give buy or sell advice. Our model rates Emera Inc Neutral (55/100) based on its growth, profitability, financial health, and valuation — use that as a research starting point and make your own decision.

What is EMA's rating on The Stocks School?

Emera Inc currently scores 55/100 (Neutral) on our transparent model, which weighs real fundamentals: growth, margins, returns on capital, balance-sheet strength, and valuation.

How our ratings work
Where does EMA's data come from?

Live price data plus real fundamentals and 5-year financials pulled directly from Emera Inc's SEC filings — refreshed automatically, not hand-entered.

How is the 5-year projection for EMA calculated?

It's a scenario model: it grows revenue at an assumed rate, applies a profit margin and a valuation multiple, and shows the resulting share-price range. The assumptions are yours to change — it's a tool for thinking, not a prediction.

Is this EMA analysis financial advice?

No. Everything on this page is educational research, not financial advice or a recommendation to buy or sell EMA. Always do your own research and consider a licensed professional.

Data notice. Fundamentals and financial statements are sourced from company filings (SEC EDGAR) and market-data providers; prices and market caps refresh on trading days and may be delayed. Ratings, projections, technical signals, and written summaries are model- or rule-generated for education and may simplify or lag the latest filings.

Not advice. Nothing on this page is investment advice or a recommendation to buy, hold, or sell any security. Do your own research and consult a licensed financial professional before investing.