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JLL · NYSE · STOCK

Jones Lang LaSalle (JLL) Stock Analysis

Real Estate Updated September 05, 2026
$361.99
52W $259.83 – $393.84
69/100
$16.67B
17.0
1.24
AI Committee Verdict
Buy
69/100
Conviction: Unanimous · 100% agreement · 6 analysts
-23.6%
Unanimous

Is JLL Bullish or Bearish?

Bullish. Innellis AI committee rates Jones Lang LaSalle (JLL) Buy with a composite score of 69/100 , based on 6 analysts with 100% agreement. Last updated September 05, 2026.

What Would Change This View

Upgrade to Strong Buy
Requires a committee score of 75.0 — +6.30 from today. Applies on the first day at or above the line; upgrades are never dampened.
Downgrade to Watch
Requires the score to fall below 55.0 — -13.70 from today. The band boundary is 60.0, but a one-step downgrade must clear a further margin first. A score oscillating around the line should not change the rating every night.

Executive Summary

The primary driver is eps growing 79.2% yoy. The main limiting factor is sector concentration is already high (hhi 3059.07). The committee is constructive but not yet at full conviction.

Bull & Bear Case

Bull Case
  • EPS growing 79.2% YoY — Growth
  • 5 consecutive earnings beats -- consistent execution — Growth
  • Quarter-over-quarter growth rate is ACCELERATING, not just positive — Growth
  • Price structure making higher highs and higher lows — Technical
  • Trend and market structure agree -- coherent bullish picture — Technical
  • Weekly trend (uptrend) confirms the daily trend -- multi-timeframe agreement — Technical
Bear Case
  • MACD histogram negative -- bearish momentum — Technical
Both cases are generated from quantitative data signals, not qualitative or forward-looking judgement. They summarise what the numbers say today.
Price History (6M)

AI Investment Committee

Committee Consensus As of September 05, 2026
Overall Committee Score
69/100
Agreement
100%
Analysts
6
Conviction
Unanimous
Sector Rank
Top 2%
of 80 Real Estate peers
Value Analyst bullish
62 / 100 · Moderate confidence
Classic value case: cheap on multiples with earnings power to back it up
Growth Analyst bullish
79 / 100 · High confidence
Strong, accelerating growth with consistent execution
+ EPS growing 79.2% YoY
Technical Analyst bullish
61 / 100 · High confidence
Price action is constructive -- trend and momentum agree
+ Price structure making higher highs and higher lows
− MACD histogram negative -- bearish momentum
Risk Analyst bullish
75 / 100 · Moderate confidence
Risk profile is manageable -- leverage, volatility, and event exposure all look contained
+ Low leverage (debt-to-equity 0.22) -- balance sheet can absorb a shock
Macro Analyst bullish
65 / 100 · Low confidence
Macro backdrop is supportive of risk assets generally, and this name's beta works in its favor
News Analyst bullish
70 / 100 · Low confidence
News flow and recent filings/analyst actions are net positive
+ News sentiment is positive (+0.40 across 17 articles, 14d)
Portfolio Manager neutral
45 / 100 · High confidence
Portfolio-level factors are mixed -- worth a deliberate sizing decision, not a default-size position
+ Portfolio position concentration is currently healthy
− Sector concentration is already high (HHI 3059.07)
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Investment Thesis Evolution

Committee score moved marginally from 68.7 to 68.7.

Comparing 2026-09-04 to 2026-09-05 (1 day apart).

Technical Analysis

RSI (14)
42.9
Neutral
MACD Histogram
-4.937
Bearish Momentum
Trend Direction
Uptrend
Weekly: Uptrend
Market Structure
Hh Hl
Bollinger %B
0.30
Inside Bands
Price vs Moving Averages
EMA 9
$367.32 Below
EMA 21
$367.12 Below
EMA 50
$352.31 Above
EMA 200
$323.51 Above

Fundamental Analysis

Valuation
93
Growth
85
Profitability
54
Financial Health
64
Cash Flow
70
Valuation
P/E Ratio 17.0×
P/B Ratio 2.26×
PEG Ratio 0.21
Dividend Yield 0.00%
52W High $393.84
52W Low $259.83
Quality & Growth
ROE 1055.7%
ROA 445.0%
Gross Margin 8964.6%
Operating Margin 479.6%
Revenue Growth YoY
Debt / Equity 0.34
AI Fundamental Assessment
P/E ratio of 17.0 (inexpensive relative to a 15-40x range); Price-to-book of 2.3x; PEG ratio of 0.2 (under 1.0 suggests growth is undervalued relative to price); Return on equity of 10.6%; Return on assets of 4.4%; Net margin of 3.6%; Gross margin of 89.6%; Current ratio of 1.13 (tight short-term liquidity); Debt-to-equity of 0.34; Free cash flow per share is positive (26.76); Most recent quarter beat estimates by 14.4%; 5 consecutive earnings beats; EPS growth accelerating (-60.6% -> +53.4% QoQ); Average YoY EPS growth of 59.4%; Analyst estimates falling over recent quarters
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