AAR
NYSE:AIR
$ 114,00
+ $4,22 (3,84%)
114,00 $
+$4,22 (3,84%)
End-of-day quote: 04/06/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

$3,91
Earnings Per Share
$78,75
Revenue Per Share
18,98%
Gross Margin %
$4,47 B
Market Cap
$0,97 B
Long-Term Debt
Earnings Per Share
$3,91
Revenue Per Share
$78,75
Gross Margin %
18,98%
Market Cap
$4,47 B
Long-Term Debt
$0,97 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share $3,91 $3,33 $2,86 $2,38 $1,31 $2,15 $2,36 $1,79 $1,52 $1,18 $-0,64 $1,83 $1,85 $1,73 $1,77 $1,04 $1,82 $1,77 $1,44 $0,95
Earnings Earnings $138,06M $116,82M $98,27M $82,97M $45,88M $74,76M $80,92M $60,97M $51,32M $40,25M $-22,00M $70,64M $70,19M $66,99M $67,81M $39,81M $70,71M $68,57M $54,43M $34,83M
RPS Revenue Per Share $78,75 $66,10 $57,93 $52,21 $47,18 $59,59 $59,84 $51,33 $52,36 $48,74 $46,39 $52,72 $56,33 $53,33 $46,35 $35,32 $36,65 $35,75 $28,07 $24,48
Revenue Revenue $2,78B $2,32B $1,99B $1,82B $1,65B $2,07B $2,05B $1,75B $1,77B $1,66B $1,59B $2,04B $2,14B $2,07B $1,78B $1,35B $1,42B $1,38B $1,06B $897,58M
OCF Operating Cash Flow $36,10M $43,60M $23,30M $75,20M $105,20M $-36,10M $67,40M $73,10M $21,80M $32,10M $-43,00M $139,80M $163,00M $94,22M $108,60M $153,00M $64,45M $16,93M $-21,24M $0,00M
FCF Free Cash Flow $1,40M $13,90M $-6,20M $57,90M $93,90M $-59,70M $50,00M $37,30M $-11,80M $-56,90M $-89,30M $113,30M $125,00M $3,00M $-16,00M $0,00M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 6,48% 6,99% 7,13% 6,12% 2,74% 2,76% 5,44% 4,92% 5,17% 4,95% -1,04% 7,17% 4,78% 6,44% 7,19% 6,67% 9,36% 9,28% 8,17% 7,19%
GM % Gross Margin % 18,98% 19,07% 18,59% 17,21% 14,33% 13,67% 16,06% 16,85% 16,56% 15,28% 9,27% 16,90% 14,35% 15,61% 17,31% 18,01% 19,40% 19,07% 18,07% 18,43%
FCFS Free Cash Flow Per Share $0,04 $0,40 $-0,18 $1,63 $2,68 $-1,72 $1,45 $1,24 $-0,10 $-0,23 $-2,18 $3,08 $3,27 $0,08 $-0,42 $3,26 $0,97 $-0,36 $-1,41 $-1,69
LT Debt Long-Term Debt $968,00M $985,40M $269,70M $98,90M $133,70M $600,00M $141,70M $177,20M $154,10M $136,10M $82,40M $564,30M $622,20M $669,40M $325,01M $329,45M $319,55M $497,50M $253,61M $318,58M
Sha. Stocks 35,31M 35,08M 34,36M 34,86M 35,02M 34,77M 34,29M 34,06M 33,76M 34,11M 34,37M 38,6M 37,94M 38,72M 38,31M 38,28M 38,85M 38,74M 37,8M 36,66M
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