Benchmark Electronic...
NYSE:BHE
$ 57,04
+ $3,01 (5,57%)
57,04 $
+$3,01 (5,57%)
End-of-day quote: 03/23/2026

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

$2,40
Earnings Per Share
$74,55
Revenue Per Share
10,16%
Gross Margin %
$2,03 B
Market Cap
$0,21 B
Long-Term Debt
Earnings Per Share
$2,40
Revenue Per Share
$74,55
Gross Margin %
10,16%
Market Cap
$2,03 B
Long-Term Debt
$0,21 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 $2,40 $2,29 $2,04 $2,09 $1,35 $0,95 $1,32 $1,45 $1,61 $1,45 $1,61 $1,65 $1,26 $1,21 $1,00 $1,37 $0,90 $1,25 $1,32 $1,71
Earnings Earnings $85,61M $82,49M $72,97M $73,55M $47,52M $34,51M $48,52M $58,94M $78,46M $71,96M $80,21M $86,89M $67,66M $66,79M $57,76M $83,76M $57,31M $81,55M $91,28M $123,29M
RPS Revenue Per Share $74,55 $73,74 $79,37 $82,02 $64,07 $56,51 $61,70 $63,14 $50,62 $46,55 $51,00 $53,12 $46,68 $44,71 $39,01 $39,29 $32,81 $39,70 $42,17 $40,32
Revenue Revenue $2,66B $2,66B $2,84B $2,89B $2,26B $2,05B $2,27B $2,57B $2,47B $2,31B $2,54B $2,80B $2,51B $2,47B $2,25B $2,40B $2,09B $2,59B $2,92B $2,91B
OCF Operating Cash Flow $123,96M $189,23M $174,29M $-177,47M $-2,62M $120,44M $93,14M $76,69M $0,00M $0,00M $146,80M $136,66M $99,08M $151,15M $54,78M $5,17M $124,00M $164,00M $282,11M $-80,50M
FCF Free Cash Flow $64,00M $155,97M $92,00M $-220,82M $-41,42M $85,85M $60,56M $9,96M $0,00M $0,00M $109,68M $92,45M $72,25M $103,24M $-16,61M $0,00M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 4,05% 4,36% 4,16% 3,42% 2,79% 2,13% 2,17% 2,65% 3,48% 3,65% 4,20% 3,82% 3,48% 3,52% 2,18% 3,96% 2,90% 3,23% 3,49% 4,44%
GM % Gross Margin % 10,16% 10,17% 9,55% 8,84% 9,13% 8,53% 8,18% 8,02% 9,20% 9,24% 8,63% 7,88% 7,44% 7,16% 6,16% 7,80% 6,99% 6,79% 6,81% 6,85%
FCFS Free Cash Flow Per Share $2,38 $4,34 $2,71 $-6,37 $-1,26 $2,22 $1,51 $0,21 $1,84 $4,88 $2,12 $1,68 $1,29 $1,81 $-0,29 $-0,50 $1,39 $1,90 $3,63 $-1,95
LT Debt Long-Term Debt $206,83M $250,57M $328,96M $320,32M $128,76M $128,22M $135,26M $142,33M $187,26M $204,08M $214,84M N/A N/A N/A N/A N/A N/A N/A $12,10M N/A
Sha. Stocks 35,67M 36,02M 35,77M 35,19M 35,2M 36,33M 36,76M 40,65M 48,73M 49,63M 49,82M 52,66M 53,7M 55,2M 57,76M 61,14M 63,68M 65,24M 69,15M 72,1M
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