CF Industries Holdin...
NYSE:CF
$ 126,92
+ $6,74 (5,61%)
126,92 $
+$6,74 (5,61%)
End-of-day quote: 03/24/2026

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

$9,55
Earnings Per Share
$46,10
Revenue Per Share
38,45%
Gross Margin %
$19,50 B
Market Cap
$3,22 B
Long-Term Debt
Earnings Per Share
$9,55
Revenue Per Share
$46,10
Gross Margin %
38,45%
Market Cap
$19,50 B
Long-Term Debt
$3,22 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 $9,55 $6,52 $8,07 $17,60 $6,40 $1,62 $1,93 $1,15 $-0,25 $0,47 $3,88 $4,01 $4,72 $5,58 $4,58 $1,61 $1,56 $2,43 $1,28 $0,17
Earnings Earnings $1,47B $1,11B $1,52B $3,45B $1,33B $346,94M $417,21M $256,32M $-58,32M $109,56M $904,35M $960,56M $1,31B $1,76B $1,50B $573,95M $537,65M $587,99M $360,04M $46,90M
RPS Revenue Per Share $46,10 $35,01 $35,21 $57,14 $31,54 $19,26 $21,23 $19,87 $17,70 $15,81 $18,48 $19,80 $19,74 $19,38 $18,63 $11,12 $7,57 $16,20 $9,80 $7,07
Revenue Revenue $7,08B $5,94B $6,63B $11,19B $6,54B $4,12B $4,59B $4,43B $4,13B $3,69B $4,31B $4,74B $5,47B $6,10B $6,10B $3,97B $2,61B $3,92B $2,76B $1,95B
OCF Operating Cash Flow $2,69B $2,27B $2,76B $3,86B $2,87B $1,23B $1,51B $1,50B $1,63B $617,00M $1,20B $1,41B $1,47B $2,38B $2,08B $1,19B $442,60M $0,00M $0,00M $203,60M
FCF Free Cash Flow $1,69B $1,75B $2,14B $3,40B $2,36B $922,00M $1,10B $1,08B $1,16B $-1,59B $-1,27B $-399,90M $570,50M $1,85B $1,83B $608,90M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 33,60% 29,06% 34,13% 49,80% 33,34% 14,45% 20,39% 16,35% 5,47% 15,22% 30,64% 33,76% 42,84% 47,84% 45,13% 27,30% 28,14% 30,63% 21,82% 3,51%
GM % Gross Margin % 38,45% 34,64% 38,38% 52,40% 36,51% 19,42% 25,58% 20,70% 10,51% 22,88% 35,91% 37,49% 46,03% 51,00% 47,49% 30,24% 32,18% 32,64% 24,30% 7,24%
FCFS Free Cash Flow Per Share $11,12 $9,72 $11,68 $16,73 $10,97 $4,29 $5,00 $4,62 $4,96 $-6,84 $-5,36 $-1,52 $1,94 $5,80 $5,28 $2,89 $1,84 $1,79 $2,10 $0,52
LT Debt Long-Term Debt $3,22B $2,97B $2,97B $2,97B $3,47B $3,71B $3,96B $4,70B $4,69B $5,78B $5,54B $4,59B $3,10B $1,60B $1,62B $1,95B $4,70M N/A $4,90M $4,20M
Sha. Stocks 153,67M 169,54M 188,34M 195,77M 207,3M 214,16M 216,17M 222,89M 233,29M 233,11M 233,08M 239,54M 277,33M 315,02M 327,38M 356,49M 344,65M 241,97M 281,28M 275,86M
×