dh

D.R. Horton

DHI
NYSE
$156.91
53
Average

D. R. Horton Quality Analysis

D. R. Horton (DHI) is an average quality business scoring 53/100. While the company generates positive returns, it lacks the exceptional attributes that characterize durable competitive advantages. Investors should demand a meaningful discount to fair value before investing.

publié le March 14, 2026 (il y a 45 jours)

D.R. Horton a-t-elle un rempart concurrentiel (moat) solide ?

35
Weak

D. R. Horton shows limited evidence of a durable competitive moat. Margins and returns on capital are below levels that would indicate meaningful competitive advantages. The business may struggle to maintain its current profitability as competitive dynamics evolve.

D.R. Horton a-t-elle un pricing power dans son secteur ?

1
Bad

D. R. Horton shows weak pricing power. Margins are below industry norms and may be declining. The business appears to compete primarily on price, leaving it vulnerable to cost increases and competitive pressure on profitability.

Quelle est la prévisibilité de l'activité de D.R. Horton ?

59
Average

D. R. Horton has moderate predictability. Financial results have shown some volatility, with periods of uneven revenue or cash flow performance. While the business generates returns, forecasting its near-term trajectory requires more caution due to this variability.

D.R. Horton est-elle financièrement solide ?

70
Good

D. R. Horton maintains a solid financial position. Debt levels are manageable, and the company generates sufficient cash to service its obligations. While not a fortress balance sheet, the financial position poses no immediate concerns and provides reasonable flexibility.

Quelle est l'efficacité de la stratégie d'allocation de capital de D.R. Horton ?

86
Good

D. R. Horton demonstrates excellent capital allocation, generating excellent returns on invested capital while reducing shares outstanding through buybacks. Management deploys capital at rates well above the cost of capital, creating significant value for shareholders.

The allocation between reinvestment, buybacks, and dividends appears disciplined and shareholder-friendly.

D.R. Horton a-t-elle une direction de haute qualité ?

80
Good

D. R. Horton's management team demonstrates strong execution, with stock-based compensation kept to just 0.3% of revenue. Consistent high returns on capital and stable operating margins indicate a team focused on operational excellence and long-term value creation rather than short-term metrics.

Average

D.R. Horton est-elle une entreprise de qualité ?

D.R. Horton est une entreprise de qualité an average avec un score de qualité de 53/100

53
Average
51
Average
Quality Momentum

Predicted probability of operating margin improvement over the next 12 months

  • Capital allocation is the strongest dimension at 86/100.
  • Pricing power is the weakest area at 1/100 and needs attention.
  • Average gross margin of 27.1% over 5 years.
  • Positive free cash flow in 10 of the last 10 years.

Quelle est le prix juste de l'action D.R. Horton ?

D.R. Horton est-elle un bon investissement à $157 ?

$156.91
Avis important :

L'analyse suivante est fournie à des fins d'information et d'éducation uniquement. Elle ne constitue pas un conseil financier, un conseil en investissement ou une recommandation d'achat ou de vente de titres. Les opinions exprimées sont basées sur des informations publiques et des données historiques. Beanvest et ses contributeurs peuvent détenir des positions dans les titres mentionnés. Les investisseurs doivent effectuer leur propre diligence raisonnable ou consulter un conseiller financier agréé avant de prendre toute décision d'investissement.

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