Applied Industrial T...
NYSE:AIT
$ 286,41
+ $5,67 (2,02%)
286,41 $
+$5,67 (2,02%)
End-of-day quote: 04/09/2026

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

$10,12
Earnings Per Share
$120,89
Revenue Per Share
30,31%
Gross Margin %
$10,68 B
Market Cap
$0,57 B
Long-Term Debt
Earnings Per Share
$10,12
Revenue Per Share
$120,89
Gross Margin %
30,31%
Market Cap
$10,68 B
Long-Term Debt
$0,57 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 $10,12 $9,75 $8,75 $6,58 $4,74 $3,81 $4,41 $3,74 $2,84 $2,50 $2,80 $2,67 $2,78 $2,54 $2,24 $1,54 $1,53 $2,19 $1,93 $1,57
Earnings Earnings $382,03M $374,01M $338,28M $253,26M $182,58M $147,49M $170,23M $144,81M $110,90M $97,65M $111,10M $110,83M $117,34M $106,60M $95,45M $65,27M $64,75M $92,68M $83,36M $69,30M
RPS Revenue Per Share $120,89 $116,77 $114,14 $99,00 $84,01 $83,85 $89,97 $79,37 $66,42 $64,50 $69,34 $59,26 $58,33 $56,60 $51,93 $44,67 $45,44 $49,37 $46,63 $43,06
Revenue Revenue $4,56B $4,48B $4,41B $3,81B $3,24B $3,25B $3,47B $3,07B $2,59B $2,52B $2,75B $2,46B $2,46B $2,38B $2,21B $1,89B $1,92B $2,09B $2,01B $1,90B
OCF Operating Cash Flow $492,39M $371,39M $343,97M $187,57M $241,70M $296,71M $0,00M $147,30M $0,00M $0,00M $154,54M $110,11M $111,40M $90,42M $76,84M $184,32M $81,30M $110,30M $70,93M $0,00M
FCF Free Cash Flow $465,20M $346,53M $0,00M $0,00M $0,00M $276,60M $0,00M $0,00M $147,57M $0,00M $139,61M $89,92M $99,18M $64,40M $56,41M $0,00M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 10,96% 11,07% 10,69% 9,37% 8,11% 7,06% 7,71% 7,54% 6,73% 6,45% 6,71% 6,74% 7,16% 7,09% 6,81% 5,81% 5,67% 7,31% 6,70% 6,08%
GM % Gross Margin % 30,31% 29,84% 29,16% 29,05% 29,14% 29,01% 29,04% 28,76% 28,44% 28,22% 27,98% 27,93% 27,74% 27,55% 27,71% 27,24% 27,04% 27,25% 27,21% 27,04%
FCFS Free Cash Flow Per Share $12,15 $8,96 $8,23 $4,40 $5,83 $7,16 $4,18 $3,20 $3,78 $3,79 $3,47 $2,14 $2,36 $1,53 $1,33 $4,19 $1,76 $2,38 $1,37 $1,32
LT Debt Long-Term Debt $572,30M $572,28M $596,93M $649,15M $784,86M $855,14M $908,85M $944,52M $286,77M $324,58M $317,65M $167,99M N/A N/A N/A N/A $76,38M $25,00M $25,00M $76,19M
Sha. Stocks 37,75M 38,36M 38,66M 38,49M 38,52M 38,71M 38,6M 38,72M 39,05M 39,06M 39,68M 41,51M 42,21M 41,97M 42,61M 42,38M 42,32M 42,32M 43,19M 44,14M
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