Throughout the last three months, 6 analysts have evaluated Broadridge Financial (NYSE:BR), offering a diverse set of opinions from bullish to bearish.
Summarizing their recent assessments, the table below illustrates the evolving sentiments in the past 30 days and compares them to the preceding months.
| Bullish | Somewhat Bullish | Indifferent | Somewhat Bearish | Bearish | |
|---|---|---|---|---|---|
| Total Ratings | 3 | 0 | 3 | 0 | 0 |
| Last 30D | 1 | 0 | 0 | 0 | 0 |
| 1M Ago | 2 | 0 | 2 | 0 | 0 |
| 2M Ago | 0 | 0 | 0 | 0 | 0 |
| 3M Ago | 0 | 0 | 1 | 0 | 0 |
In the assessment of 12-month price targets, analysts unveil insights for Broadridge Financial, presenting an average target of $236.33, a high estimate of $255.00, and a low estimate of $228.00. A 8.75% drop is evident in the current average compared to the previous average price target of $259.00.

In examining recent analyst actions, we gain insights into how financial experts perceive Broadridge Financial. The following summary outlines key analysts, their recent evaluations, and adjustments to ratings and price targets.
| Analyst | Analyst Firm | Action Taken | Rating | Current Price Target | Prior Price Target |
|---|---|---|---|---|---|
| Peter Heckmann | DA Davidson | Maintains | Buy | $228.00 | $228.00 |
| Peter Heckmann | DA Davidson | Maintains | Buy | $228.00 | $228.00 |
| Puneet Jain | JP Morgan | Lowers | Neutral | $229.00 | $273.00 |
| Kyle Peterson | Needham | Lowers | Buy | $255.00 | $305.00 |
| Peter Heckmann | DA Davidson | Lowers | Neutral | $228.00 | $240.00 |
| Alex Kramm | UBS | Lowers | Neutral | $250.00 | $280.00 |
Considering these analyst evaluations in conjunction with other financial indicators can offer a comprehensive understanding of Broadridge Financial's market position. Stay informed and make well-informed decisions with our Ratings Table.
Stay up to date on Broadridge Financial analyst ratings.
Broadridge Financial Solutions, which was spun off from Automatic Data Processing in 2007, is a leading provider of investor communication and technology-driven solutions to banks, broker/dealers, traditional and alternative-asset managers, wealth managers, and corporate issuers. Broadridge is composed of two operating segments: investor communication solutions and global technology and operations.
Market Capitalization Analysis: With an elevated market capitalization, the company stands out above industry averages, showcasing substantial size and market acknowledgment.
Revenue Growth: Over the 3M period, Broadridge Financial showcased positive performance, achieving a revenue growth rate of 7.85% as of 31 December, 2025. This reflects a substantial increase in the company's top-line earnings. In comparison to its industry peers, the company stands out with a growth rate higher than the average among peers in the Industrials sector.
Net Margin: Broadridge Financial's financial strength is reflected in its exceptional net margin, which exceeds industry averages. With a remarkable net margin of 16.61%, the company showcases strong profitability and effective cost management.
Return on Equity (ROE): Broadridge Financial's ROE surpasses industry standards, highlighting the company's exceptional financial performance. With an impressive 10.32% ROE, the company effectively utilizes shareholder equity capital.
Return on Assets (ROA): Broadridge Financial's ROA surpasses industry standards, highlighting the company's exceptional financial performance. With an impressive 3.36% ROA, the company effectively utilizes its assets for optimal returns.
Debt Management: Broadridge Financial's debt-to-equity ratio is below industry norms, indicating a sound financial structure with a ratio of 1.17.
Benzinga tracks 150 analyst firms and reports on their stock expectations. Analysts typically arrive at their conclusions by predicting how much money a company will make in the future, usually the upcoming five years, and how risky or predictable that company's revenue streams are.
Analysts attend company conference calls and meetings, research company financial statements, and communicate with insiders to publish their ratings on stocks. Analysts typically rate each stock once per quarter or whenever the company has a major update.
Analysts may supplement their ratings with predictions for metrics like growth estimates, earnings, and revenue, offering investors a more comprehensive outlook. However, investors should be mindful that analysts, like any human, can have subjective perspectives influencing their forecasts.
This article was generated by Benzinga's automated content engine and reviewed by an editor.