AAR Corp. logo AIR - AAR Corp.

Price: -- -- | CONSENSUS: Buy DETAILS
STRONG
BUY
0
BUY 13
HOLD 7
SELL 0
STRONG
SELL
0
| PRICE TARGET: $136.00 DETAILS
HIGH: $155.00
LOW: $121.00
MEDIAN: $132.00
CONSENSUS: $136.00
UPSIDE: 0.49%
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993 1992 1991 1990 1989 1988 1987 1986
Revenue
Revenue 2,780.5 2,318.9 1,990.5 1,820 1,652.3 2,072 2,051.8 1,748.3 1,767.6 1,662.6 1,594.3 2,035 2,137.3 2,065.0 1,775.8 1,352.2 1,424.0 1,384.9 1,061.2 897.3 747.8 652.0 606.3 638.8 874.3 1,024.3 918.0 782.1 589.3 505.0 451.4 407.8 382.8 422.7 466.5 444.9 406.4 347.6 298.2 248
Cost of Revenue 2,252.8 1,876.6 1,620.4 1,506.8 1,376.4 1,802.8 1,722.3 1,453.7 1,491.1 1,425.7 1,435 1,694.8 1,823.1 1,746.4 1,472.7 1,108.6 1,182.4 1,120.8 877.0 733.3 627.0 551.3 523.9 624.9 737.8 851.5 744.8 633.7 480.8 414.2 373.5 335.8 303.5 327.6 362.6 334.3 302.7 262 224.5 185.7
Gross Profit 527.7 442.3 370.1 313.2 275.9 269.2 329.5 294.6 276.5 236.9 159.3 340.2 314.2 318.6 303.1 243.5 241.6 264.1 184.1 164.0 120.8 100.7 82.4 13.9 136.5 172.9 173.3 148.4 108.5 90.8 77.9 71.9 79.3 95.1 103.9 110.6 103.7 85.6 73.7 62.3
Operating Expenses
R&D Expenses 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
SG&A Expenses 347.7 280.2 230.4 202.2 182.4 220.6 215.4 208.6 196.7 170.8 171.4 197.6 198.4 189.4 173.6 153.3 147.2 135.5 105.1 101.3 87.9 81.9 84.2 85.0 96.1 102.2 95.9 83.7 65.7 58.3 53.4 50.1 63.1 56.9 61.8 53.9 52.3 50.3 39.5 35
Other Expenses (5.2) 32.9 5.8 4.1 8.5 7.3 15.8 (0.9) 0 0 0 0 0 (1.5) (8.7) 0 0 (5.9) (16.3) (1.5) (0.6) 0 0 10.1 0 0 0 0 0 0 0 0 10.9 11.6 11.7 9.8 6.8 5.7 5.4 4.6
Operating Expenses 342.5 313.1 236.2 206.3 190.9 227.9 231.2 208.6 196.7 170.8 171.4 197.6 198.4 187.9 170.3 153.3 155.7 129.6 88.8 99.8 87.3 81.9 84.2 95.2 96.1 102.2 95.9 83.7 65.7 58.3 53.4 50.1 74 68.5 73.5 63.7 59.1 56 44.9 39.6
Operating Income
Operating Income 185.2 129.2 133.9 106.9 85.2 41.3 98.3 86 79.6 65.8 (11.9) 145.7 122.6 130.7 138.7 90.3 102.9 134.5 95.4 64.2 33.5 18.8 (1.8) (81.3) 40.4 70.7 77.4 64.7 42.9 32.4 24.4 21.8 5.3 26.6 30.4 46.9 44.6 29.6 28.8 22.7
Interest Expense 75.4 43.2 12.2 2.4 5 9.3 9.5 8 5.3 6.4 27.2 28.3 41.6 37.8 30.7 26.8 18.4 29.5 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Interest Income 1.8 2.2 1 0.1 0.2 0.5 1 0.1 0.1 0.2 0.3 1.5 1.5 1.2 0.3 0.9 1.5 1.8 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Profitability
EBITDA 169.5 142.7 161.3 144.2 73.1 87.4 142.4 126 118 115.4 (11.9) 207.5 211.9 211.6 198.5 129.9 178.8 176.6 95.4 94.4 61.4 45.5 25.4 (58.8) 40.4 89.0 (38.1) 4.5 55.2 42.6 34.8 31.8 16.2 38.2 42.1 56.7 51.4 35.3 34.2 27.3
EBIT 114.3 101.5 133.4 111.1 36.8 43.7 99.6 85.5 82.3 64.3 (86) 127.1 103.3 131.3 139.2 94.5 138.3 136.7 95.4 65.2 33.5 20.3 0.9 (81.3) 40.4 70.7 (55.2) (9.8) 42.9 32.4 24.4 21.8 5.3 26.6 30.4 46.9 44.6 29.6 28.8 22.7
Income Before Tax 38.9 58.3 121.2 105.1 64.5 30.4 89 77.2 74.3 59.3 (83) 105.3 82.2 93.5 108.5 64.2 119.9 116.1 87.4 45.5 21.6 1.7 (19.5) (98.2) 20.2 49.5 59.8 51.2 33.0 22.8 14.7 13.7 (1.9) 13.6 21.4 38.2 37 30.4 27.6 20.6
Income Tax Expense 26.4 12 31.4 26.6 18.2 5.6 4.9 3.5 24.1 18.8 (28.5) 32.1 26.7 25.5 35.4 21.0 39.3 40.3 28.0 10.3 3.1 (1.8) (7.1) (39.3) 1.7 14.4 18.1 15.5 9.9 6.8 4.2 4.2 (2.2) 3.6 6.6 12.5 12.2 9.2 12.2 9.1
Net Income 12.5 46.3 90.2 78.7 35.8 24.8 7.5 15.6 56.5 47.7 10.2 72.9 55 67.7 69.8 44.6 78.7 75.1 58.7 35.2 15.5 3.5 (12.4) (58.9) 18.5 35.2 41.7 35.7 23.0 16.0 10.5 9.5 0.3 10 14.8 25.7 24.8 21.2 15.4 11.5
Per Share Data
EPS (Basic) 0.35 1.30 2.56 2.19 1.01 0.71 0.22 0.46 1.66 1.37 0.26 1.85 1.38 1.68 1.76 1.17 1.49 1.83 1.61 1.05 0.48 0.11 -0.39 -2.08 0.69 1.30 1.51 1.29 0.92 0.67 0.44 0.40 0.01 0.42 0.62 1.07 1.04 0.89 0.67 0.57
EPS (Diluted) 0.35 1.29 2.53 2.16 1.00 0.71 0.21 0.45 1.64 1.37 0.24 1.83 1.38 1.65 1.73 1.16 1.45 1.71 1.40 0.94 0.46 0.11 -0.39 -2.08 0.69 1.28 1.49 1.27 0.92 0.67 0.44 0.40 0.01 0.42 0.62 1.07 1.04 0.89 0.67 0.57
Shares Outstanding 35.6 35.1 34.7 35.6 35 34.8 34.5 34.2 33.9 34.4 39.1 38.6 38.3 38.8 38.4 38.2 38.1 37.2 36.4 33.5 32.2 31.9 31.8 28.3 26.9 26.9 27.6 27.7 25.0 24.0 23.8 23.7 30 23.8 23.9 24.0 23.8 23.8 23.0 20.2
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993 1992 1991 1990 1989 1988 1987 1986
Current Assets
Cash & Cash Equivalents 96.5 85.8 68.4 53.5 51.8 404.7 21.3 31.1 10.3 31.2 54.7 89.2 75.3 67.7 57.4 79.4 112.5 109.4 83.3 121.7 40.5 33.7 29.2 34.5 13.8 1.2 8.3 17.2 51.7 33.6 22.5 18.1 2.3 2.3 1.6 4 4.6 6.8 3.4 4.6
Short-Term Investments 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Net Receivables 495.1 410.4 328.2 287.6 238.6 221.2 257 202 234.5 248.3 229 283.1 297.4 302.1 287.4 238.5 227.3 202.5 181.7 136.3 127.1 104.7 66.3 77.5 115.2 128.3 164.3 163.4 122.9 107.1 110.4 85.9 68.8 89.8 91.2 93.6 95.2 67.2 66.7 55.3
Inventory 809.2 733.1 574.1 550.5 540.6 623.1 523.7 460.7 433.4 452 456 495.3 453.7 461.2 363.4 357.0 347.5 296.6 244.7 259.6 205.0 206.9 219.9 238.0 263.1 275.8 270.7 229.9 176.9 138.2 151.8 146.0 139.4 138 132.1 146.1 110.7 104.5 84.4 74.6
Other Current Assets 109.8 160.3 77.5 75.2 78.3 112.5 150.5 248.9 184.5 118.3 127.7 162.2 147.2 161.2 167.5 144.3 148.2 157.3 136.1 106.9 101.9 86.9 81.0 86.6 93.8 105.9 64.9 57.9 62.5 59.1 36.9 57.7 54.5 59.4 43.5 31.9 46.5 29.9 14.5 6.2
Total Current Assets 1,510.6 1,389.6 1,097.9 1,007.2 937 1,438.7 952.5 942.7 888.4 881.7 895.8 1,111.4 1,033.7 1,063.3 914.0 846.3 851.3 783.4 645.7 624.5 474.5 432.2 396.4 436.7 485.9 511.3 508.2 468.4 414.1 338.0 321.6 307.7 265 289.5 268.4 275.6 257 208.4 169 140.7
Non-Current Assets
Property, Plant & Equipment 251.8 268.3 189.8 182.6 195.8 225.4 132.8 133.2 117.2 319.2 295 413.3 426.4 456 324.4 219.6 125.0 146.4 88.2 72.6 71.5 81.9 94.0 102.6 108.9 110.0 104 82.9 71.1 54.8 56.6 54.8 56.1 54 55.9 55.6 50.8 46.9 44.3 38.6
Goodwill 530.8 554.8 175.8 116.4 119.3 115.7 116.2 118.7 105.6 117.3 123.5 261.7 255.6 262.6 134.0 134.0 0 129.7 74.3 44.4 0 0 0 45.9 45.4 38.8 40.1 26.6 5.7 5.8 6.1 6.3 0 0 0 0 0 0 0 0
Intangible Assets 219.6 235.4 63.7 3.3 4.5 6 22.2 27.8 30.6 35.8 36.7 277.6 282.7 246.9 47.1 56.7 41.2 0 0 0 44.4 44.4 46.0 0 0 0 40.1 26.6 0 0 0 0 6.6 6.9 7.1 7.3 7.8 12.3 10.9 10.1
Long-Term Investments 46.8 50.2 28 24.5 18.3 17.8 12.3 7.6 15 17.6 20.5 29.9 31.8 49.9 48.7 48.4 45.4 42.7 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Current Assets 285 271.7 277.9 239.9 264.8 275.4 281.2 294.7 347.3 84.4 82.6 100.1 106.7 117 235.5 195.1 203.9 259.7 259.5 237.3 141.8 150.8 150.2 125.0 61.7 77.9 74.3 92.7 38.7 39.2 41.5 48.8 37.5 45 48.6 50 40.8 17.3 10.9 8.9
Total Non-Current Assets 1,334 1,380.4 735.2 566.7 602.7 640.3 564.7 582 615.7 574.3 558.3 1,082.6 1,103.2 1,132.4 789.7 653.9 524.6 578.6 421.9 354.4 257.7 277.1 290.2 273.5 216.0 226.7 218.4 202.2 115.5 99.8 104.2 109.9 100.2 105.9 111.6 112.9 99.4 76.5 66.1 57.6
Total Assets 2,844.6 2,770 1,833.1 1,573.9 1,539.7 2,079 1,517.2 1,524.7 1,504.1 1,456 1,454.1 2,194 2,136.9 2,195.7 1,703.7 1,500.2 1,375.9 1,362.0 1,067.6 978.8 732.2 709.3 686.6 710.2 701.9 738.0 726.6 670.6 529.6 437.8 425.8 417.6 365.2 395.4 380 388.5 356.4 284.9 235.1 198.3
Current Liabilities
Account Payables 303.1 238 158.5 156.4 127.2 191.6 187.8 170 164.2 166.3 142.3 171.1 149.3 201.4 185.1 114.9 100.7 99.1 110.2 97.0 77.0 57.6 51.5 49.5 74.0 107.9 129.7 113 77.6 59.0 51.4 49.6 32.5 43.4 35.1 35.9 36.1 0 0 0
Short-Term Debt 0 0 0 0 0 0 0 0 0.1 12 69 69.7 86.4 122.8 112.1 99.1 61.9 21.4 74.2 2.3 3.7 3.4 92.3 42.5 13.7 26.3 0.4 0.2 1.5 1.5 1.6 0.6 25 25 16.5 33.8 70.3 48.9 35.8 31.9
Deferred Revenue 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Current Liabilities 5.8 9.6 13.4 17.2 35.4 29.9 29.2 25 30.8 0 0 0 0 (0.1) 0 0 0 0 0 0 0 0 0 0 0 3.0 6.7 6.3 3.3 4.5 4.1 4.2 14.1 23.9 27.6 20.9 21.7 53.8 45.5 38.2
Total Current Liabilities 554.7 466.9 351.5 348.2 336.8 383.1 357.5 333.3 335 341.4 412 402.1 389 473.2 416.0 324.7 254.4 218.5 256.5 187.8 160.0 131.3 203.6 150.5 125.4 163.8 173.6 149.1 100.0 79.4 73.1 67.7 71.6 92.3 79.2 90.6 128.1 102.7 81.3 70.1
Non-Current Liabilities
Long-Term Debt 968 985.4 269.7 98.9 133.7 600 141.7 177.2 154.1 136.1 82.4 564.3 622.2 669.4 325.0 329.4 319.6 497.5 253.6 318.6 227.2 248.7 164.7 217.7 180.0 180.4 180.9 177.5 116.8 118.3 119.8 115.7 66.3 67.3 69 72.3 25.7 23.8 12.5 25
Deferred Tax Liabilities 18.4 23.9 33.6 20 9.5 0 0 15.7 37.2 34.3 46.3 156.7 138.2 115.9 98.3 57.3 63.6 28.0 40.1 25.4 18.1 17.6 22.6 30.6 55.1 56.0 44.9 36.9 32.6 30.7 30.7 39 38 39 38 36 31 8 7 7.8
Other Non-Current Liabilities 5.9 16.5 31 14.9 20 34.4 28.3 26.4 0 0 0 0 0 (0.1) 0 0 0 22.3 23.2 24.4 12.2 10.1 0.8 1.2 1.2 1.2 1.2 6.2 11.0 4.9 5.1 5.7 0.1 0.1 0 0.1 0 (0.1) 0 0
Total Non-Current Liabilities 1,078.3 1,113.3 382.5 191.2 228.5 793.3 253.8 255.1 254.9 248.8 197 791.2 828.4 856.5 452.4 429.1 424.8 558.3 316.9 368.3 257.5 276.3 188.1 249.5 236.2 237.7 227 220.6 160.3 153.8 155.6 160.4 104.4 106.4 107 108.4 56.7 31.7 19.5 32.8
Total Liabilities 1,633 1,580.2 734 539.4 565.3 1,176.4 611.3 588.4 589.9 590.2 609 1,193.3 1,217.4 1,329.7 868.4 753.8 679.2 776.8 573.4 556.1 417.5 407.6 391.6 400.0 361.6 401.5 400.6 369.7 260.3 233.2 228.7 228.1 176 198.7 186.2 199 184.8 134.4 100.8 102.9
Stockholders' Equity
Common Stock 45.3 45.3 45.3 45.3 45.3 45.3 45.3 45.3 45.2 44.9 44.9 44.7 44.7 44.8 45.0 44.9 44.2 43.9 42.2 40.8 35.9 34.5 33.5 33.6 29.4 29.2 29.0 28.8 18.9 16.4 16.3 16.2 0 0 0 0 0 0 0 0
Retained Earnings 969.4 956.9 910.6 820.4 741.7 706 709.8 733.2 727.9 681.6 644.3 646 584.9 541.8 486.1 419.3 374.7 331.2 256.1 197.4 162.2 146.8 143.3 156.5 219.8 210.5 184.5 152.2 125.7 110.6 102.3 99.5 97.6 105 102.6 95.4 77.3 59.2 43.6 33
Accumulated Other Comprehensive Income (5.6) (8.8) (23.5) (19.6) (18.3) (44.6) (40.9) (32) (39.9) (44.4) (40.4) (29.3) (42.5) (55.2) (18.6) (29.6) (24.0) (13.0) (13.9) (20.0) (22.5) (16.3) (19.7) (18.0) (18.3) (12.5) (6.1) (4.6) (3.0) (1.1) 0.1 (4.0) 0 0 0 0 0 0 0 0
Total Stockholders' Equity 1,211.6 1,189.8 1,099.1 1,034.5 974.4 902.6 905.9 936.3 914.2 865.8 845.1 999.5 918.6 864.6 835.8 746.9 696.7 585.3 494.2 422.7 314.7 301.7 295.0 310.2 340.2 336.5 326 300.9 269.3 204.6 197.1 189.5 189.2 196.7 193.8 189.5 171.6 150.5 134.3 95.4
Total Liabilities & Equity 2,844.6 2,770 1,833.1 1,573.9 1,539.7 2,079 1,517.2 1,524.7 1,504.1 1,456 1,454.1 2,194 2,136.9 2,195.7 1,703.7 1,500.2 1,375.9 1,362.0 1,067.6 978.8 732.2 709.3 686.6 710.2 701.9 738.0 726.6 670.6 529.6 437.8 425.8 417.6 365.2 395.4 380 388.5 356.4 284.9 235.1 198.3
Debt Metrics
Total Debt 1,047.6 1,065.7 317.9 156.3 193.6 670.9 141.7 177.2 154.2 148.1 151.4 634 708.6 792.4 443.9 437.0 391.8 530.9 327.9 320.9 230.9 252.1 256.9 260.2 193.6 206.8 181.3 177.7 118.3 119.8 121.4 116.3 91.3 92.3 85.5 106.1 96 72.7 48.3 56.9
Net Debt 951.1 979.9 249.5 102.8 141.8 266.2 120.4 146.1 143.9 116.9 96.7 544.8 633.3 724.7 386.4 357.7 279.3 421.5 244.5 199.1 190.4 218.4 227.8 225.7 179.8 205.5 173 160.5 66.6 86.2 98.9 98.2 89 90 83.9 102.1 91.4 65.9 44.9 52.3
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993 1992 1991 1990 1989
Operating Activities
Net Income 12.5 46.3 89.8 78.5 46.3 24.8 84.1 73.7 50.2 40.5 10.4 73.2 55.5 68.0 69.8 43.2 78.7 75.1 58.7 35.2 15.5 3.5 (12.4) (58.9) 18.5 35.2 41.7 35.7 23.0 16.0 10.5 9.5 0.3 10 14.8 25.7 24.8
Depreciation & Amortization 55.2 41.2 27.9 33.1 36.3 43.7 42.8 40.5 71 70.8 123.9 113.4 108.6 80.3 59.3 38.9 40.6 40.0 32.2 29.2 27.9 26.7 27.2 22.5 18.6 18.4 17.1 14.3 12.3 10.1 10.3 9.9 10.9 11.6 11.7 9.8 6.8
Stock-Based Compensation 19.9 15.3 13.5 8.2 9.2 7.3 13.5 15.3 11 6.7 7.8 8.7 11.1 12.5 12.3 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Change in Working Capital (112.3) (66.1) (111) (37.2) (23.3) (139.7) (95.7) (60.8) (106) (92.8) (38.5) (67.3) (44.9) (114.7) (81.5) 64.0 (60.7) (100.5) (115.7) (112.9) 3.6 (10.5) 19.9 (44.6) 6 (53.1) (41.2) (23.0) (27.5) 1.2 (2.9) (10.7) (4.4) (19.6) 8.4 (21.1) (41.6)
Other Non-Cash Items 66.3 27.4 5.3 (16.1) 28.3 27.3 27.7 8.5 (5) 2.1 (66.8) 2.2 3.1 15.2 8.1 10.3 (10.1) (4.5) 3.3 0 2.3 0 3.5 (1.6) 3.3 0 0 0 0 0 0 (2.0) 11 5.8 0 0 0.1
Operating Cash Flow 36.1 43.6 23.3 75.2 105.2 (36.1) 67.4 64.3 21.8 32.1 (43) 139.8 162.9 94.2 108.6 153.2 64.5 16.9 (21.2) (40.5) 50.9 14.6 34.7 (33.3) 46.1 10.1 28.5 22.8 9.5 24.8 15.3 6.7 16.8 8.8 36.9 19.4 0.1
Investing Activities
Capital Expenditure (34.7) (29.7) (29.5) (17.3) (11.3) (23.6) (17.4) (22) (33.6) (88.4) (46.3) (26.5) (37.6) (91.2) (124.9) (28.9) (27.5) (30.3) (29.9) (16.3) (13.0) (10.3) (9.9) (12.1) (13.1) (22.3) (36.1) (17.5) (30.3) (7.5) (9.1) (6.0) (8.9) (8.2) (8.9) (10.4) (10.4)
Acquisitions 46.5 (722.9) (103.3) (6.5) 0.8 1.6 (2.3) (22.9) (12.5) 40.3 689.1 (15.5) (5.9) (298.1) 0 (193.3) 5.1 (85.2) (31.9) 0 0 0 0 (13.3) (3.2) 0 (15.2) (28.1) 0 0 0 0 0 0.3 0 0 0
Purchases of Investments 0 0 0 0 0 0 0 0 0 0 0 0 0 (5.8) (9.9) (4.2) (0.8) (49.8) (20.3) (16.7) 0 0 0 0 0 0 0 0 0 0 0 0 0 (0.4) 0 (2.6) 0
Sales/Maturities of Investments 0 0 0 0 0 0 0 0 0 0 0 0 0 1.6 8.3 1.2 1.6 24.6 43.9 0 0 0 0 0 0 0 0 0 0 0 0 0 1.6 0.8 0 0 0
Other Investing Activities (1.1) (5.9) (5.2) 7.3 10 (2.8) 0.7 2 16 71.5 46.4 1.1 10.7 3.3 7.7 2.9 (2.5) (1.3) (0.9) 0.4 (4.6) 15.9 3.2 0.4 18.5 (0.9) 28.4 (53.5) (1.7) 2.9 (0.3) (2.2) (0.7) (0.1) 1.6 (7.8) (3.1)
Investing Cash Flow 10.7 (758.5) (138) (16.5) (0.5) (24.8) (19) (42.9) (30.1) (16.9) 689.2 (40.9) (32.8) (390.2) (118.7) (222.3) (24.2) (142.0) (39.1) (32.6) (17.6) 5.6 (6.7) (25.0) 2.1 (23.2) (22.9) (99.1) (32.0) (4.6) (9.3) (8.2) (8) (7.6) (7.3) (20.8) (13.5)
Financing Activities
Net Debt Issuance (20) 725 172 (34.2) (470) 459.5 (35) 23.8 11 (10.6) (474.8) (78.9) (93) 332.1 (3.7) 33.0 (36.9) 109.6 9.9 140.6 (24.0) (4.9) (32.6) 50.1 (26.4) 25.4 2.1 49.1 (1.5) (1.6) 5.1 25.0 (1) (0.7) (22.3) 7.7 17.3
Stock Repurchased (10.1) (5.1) (50.1) (42.4) 0 (4.1) (10.3) (13.1) (19.8) (18.8) (151.5) (1) (14.6) (3.7) (2.5) 0 0 (9.5) 0 0 0 0 0 (0.2) (0.2) (10.5) (7.6) 0 (8.1) (1.6) (0.2) (0.1) (1.2) 0 (2.3) 0 0
Dividends Paid 0 0 0 0 (0.1) (10.7) (10.5) (10.3) (10.2) (10.4) (12.5) (11.8) (12.8) (12.1) (3.0) 0 0 0 0 0 0 0 (0.8) (4.4) (9.2) (9.2) (9.4) (9.1) (8.0) (7.7) (7.7) (7.6) (7.6) 0 (7.7) (7.5) (6.7)
Other Financing Activities (3.6) 9.3 15.8 16.8 0 (0.2) 7.1 9.6 6.9 1.4 (39.3) 5.8 (3.3) (12.5) (4.6) 3.2 0.8 50.9 3.5 (5.4) (0.0) (3.5) 0.1 (0.9) 0 0 (0.0) 0.1 0 0 0 0 0 0 0.3 0.5 0.7
Financing Cash Flow (33.7) 729.2 137.7 (59.8) (469.5) 444.5 (48.7) 10 (12.1) (38.4) (678.1) (85.9) (123.7) 306.8 (11.8) 36.2 (36.2) 151.0 22.0 144.7 (24.0) (8.4) (33.4) 78.9 (35.6) 6.0 (14.6) 41.7 40.7 (8.9) (1.8) 17.4 (8.8) (0.7) (32) 0.7 11.3
Cash Position
Net Change in Cash 13.1 14.3 22.9 (1.3) (364.5) 383.6 (0.5) 31.3 (20.9) (23.5) (34.5) 13.9 7.6 10.3 (21.9) (33.1) 3.1 26.1 (38.4) 71.4 9.3 11.9 (5.4) 20.7 12.6 (7.0) (9.0) (34.5) 18.1 11.1 4.4 15.8 0 0.6 (2.5) (0.5) (2.3)
Cash at Beginning 96.1 81.8 58.9 60.2 424.7 41.1 41.6 10.3 31.2 54.7 89.2 75.3 67.7 57.4 79.4 112.5 109.4 83.3 121.7 50.3 41.0 29.2 34.5 13.8 1.2 8.2 17.2 51.7 33.6 22.5 18.1 2.3 2.3 1.6 4 4.6 6.9
Cash at End 109.2 96.1 81.8 58.9 60.2 424.7 41.1 41.6 10.3 31.2 54.7 89.2 75.3 67.7 57.4 79.4 112.5 109.4 83.3 121.7 50.3 41.0 29.2 34.5 13.8 1.2 8.2 17.2 51.7 33.6 22.5 18.1 2.3 2.2 1.5 4.1 4.6
Free Cash Flow 1.4 13.9 (6.2) 57.9 93.9 (59.7) 50 42.3 (11.8) (56.3) (89.3) 113.3 125.3 3.0 (16.3) 124.3 36.9 (13.4) (51.1) (56.8) 37.9 4.3 24.8 (45.4) 33.0 (12.3) (7.6) 5.3 (20.8) 17.2 6.2 0.7 7.9 0.6 28 9 (10.3)
Key Metrics 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993 1992 1991 1990 1989 1988 1987 1986
Income Statement
Revenue 2,780.5 2,318.9 1,990.5 1,820 1,652.3 2,072 2,051.8 1,748.3 1,767.6 1,662.6 1,594.3 2,035 2,137.3 2,065.0 1,775.8 1,352.2 1,424.0 1,384.9 1,061.2 897.3 747.8 652.0 606.3 638.8 874.3 1,024.3 918.0 782.1 589.3 505.0 451.4 407.8 382.8 422.7 466.5 444.9 406.4 347.6 298.2 248
Gross Profit 527.7 442.3 370.1 313.2 275.9 269.2 329.5 294.6 276.5 236.9 159.3 340.2 314.2 318.6 303.1 243.5 241.6 264.1 184.1 164.0 120.8 100.7 82.4 13.9 136.5 172.9 173.3 148.4 108.5 90.8 77.9 71.9 79.3 95.1 103.9 110.6 103.7 85.6 73.7 62.3
Operating Income 185.2 129.2 133.9 106.9 85.2 41.3 98.3 86 79.6 65.8 (11.9) 145.7 122.6 130.7 138.7 90.3 102.9 134.5 95.4 64.2 33.5 18.8 (1.8) (81.3) 40.4 70.7 77.4 64.7 42.9 32.4 24.4 21.8 5.3 26.6 30.4 46.9 44.6 29.6 28.8 22.7
Net Income 12.5 46.3 90.2 78.7 35.8 24.8 7.5 15.6 56.5 47.7 10.2 72.9 55 67.7 69.8 44.6 78.7 75.1 58.7 35.2 15.5 3.5 (12.4) (58.9) 18.5 35.2 41.7 35.7 23.0 16.0 10.5 9.5 0.3 10 14.8 25.7 24.8 21.2 15.4 11.5
EPS (Diluted) 0.35 1.29 2.53 2.16 1.00 0.71 0.21 0.45 1.64 1.37 0.24 1.83 1.38 1.65 1.73 1.16 1.45 1.71 1.40 0.94 0.46 0.11 -0.39 -2.08 0.69 1.28 1.49 1.27 0.92 0.67 0.44 0.40 0.01 0.42 0.62 1.07 1.04 0.89 0.67 0.57
Balance Sheet
Cash & Equivalents 96.5 85.8 68.4 53.5 51.8 404.7 21.3 31.1 10.3 31.2 54.7 89.2 75.3 67.7 57.4 79.4 112.5 109.4 83.3 121.7 40.5 33.7 29.2 34.5 13.8 1.2 8.3 17.2 51.7 33.6 22.5 18.1 2.3 2.3 1.6 4 4.6 6.8 3.4 4.6
Total Assets 2,844.6 2,770 1,833.1 1,573.9 1,539.7 2,079 1,517.2 1,524.7 1,504.1 1,456 1,454.1 2,194 2,136.9 2,195.7 1,703.7 1,500.2 1,375.9 1,362.0 1,067.6 978.8 732.2 709.3 686.6 710.2 701.9 738.0 726.6 670.6 529.6 437.8 425.8 417.6 365.2 395.4 380 388.5 356.4 284.9 235.1 198.3
Total Debt 1,047.6 1,065.7 317.9 156.3 193.6 670.9 141.7 177.2 154.2 148.1 151.4 634 708.6 792.4 443.9 437.0 391.8 530.9 327.9 320.9 230.9 252.1 256.9 260.2 193.6 206.8 181.3 177.7 118.3 119.8 121.4 116.3 91.3 92.3 85.5 106.1 96 72.7 48.3 56.9
Stockholders' Equity 1,211.6 1,189.8 1,099.1 1,034.5 974.4 902.6 905.9 936.3 914.2 865.8 845.1 999.5 918.6 864.6 835.8 746.9 696.7 585.3 494.2 422.7 314.7 301.7 295.0 310.2 340.2 336.5 326 300.9 269.3 204.6 197.1 189.5 189.2 196.7 193.8 189.5 171.6 150.5 134.3 95.4
Cash Flow
Operating Cash Flow 36.1 43.6 23.3 75.2 105.2 (36.1) 67.4 64.3 21.8 32.1 (43) 139.8 162.9 94.2 108.6 153.2 64.5 16.9 (21.2) (40.5) 50.9 14.6 34.7 (33.3) 46.1 10.1 28.5 22.8 9.5 24.8 15.3 6.7 16.8 8.8 36.9 19.4 0.1
Capital Expenditure (34.7) (29.7) (29.5) (17.3) (11.3) (23.6) (17.4) (22) (33.6) (88.4) (46.3) (26.5) (37.6) (91.2) (124.9) (28.9) (27.5) (30.3) (29.9) (16.3) (13.0) (10.3) (9.9) (12.1) (13.1) (22.3) (36.1) (17.5) (30.3) (7.5) (9.1) (6.0) (8.9) (8.2) (8.9) (10.4) (10.4)
Free Cash Flow 1.4 13.9 (6.2) 57.9 93.9 (59.7) 50 42.3 (11.8) (56.3) (89.3) 113.3 125.3 3.0 (16.3) 124.3 36.9 (13.4) (51.1) (56.8) 37.9 4.3 24.8 (45.4) 33.0 (12.3) (7.6) 5.3 (20.8) 17.2 6.2 0.7 7.9 0.6 28 9 (10.3)