Charles River Labora...
NYSE:CRL
$ 165,89
+ $6,70 (4,21%)
165,89 $
+$6,70 (4,21%)
End-of-day quote: 03/25/2026

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

$10,28
Earnings Per Share
$81,56
Revenue Per Share
34,98%
Gross Margin %
$7,84 B
Market Cap
$2,11 B
Long-Term Debt
Earnings Per Share
$10,28
Revenue Per Share
$81,56
Gross Margin %
34,98%
Market Cap
$7,84 B
Long-Term Debt
$2,11 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 $10,28 $10,32 $10,67 $11,12 $10,32 $8,13 $6,73 $6,03 $5,27 $4,56 $3,76 $3,46 $2,93 $2,74 $2,56 $1,99 $2,38 $2,89 $2,62 $2,19
Earnings Earnings $506,08M $527,76M $547,90M $567,01M $521,06M $404,71M $329,50M $290,83M $249,96M $216,01M $175,67M $163,76M $139,64M $132,01M $125,16M $112,40M $156,82M $193,02M $178,63M $146,58M
RPS Revenue Per Share $81,56 $79,19 $80,42 $77,98 $70,12 $58,74 $53,54 $46,99 $39,17 $35,50 $29,18 $27,42 $24,46 $23,44 $23,37 $20,07 $18,25 $20,12 $18,05 $15,81
Revenue Revenue $4,02B $4,05B $4,13B $3,98B $3,54B $2,92B $2,62B $2,27B $1,86B $1,68B $1,36B $1,30B $1,17B $1,13B $1,14B $1,13B $1,20B $1,34B $1,23B $1,06B
OCF Operating Cash Flow $737,65M $734,58M $683,90M $619,64M $760,80M $546,58M $480,94M $441,14M $318,07M $300,38M $288,23M $252,13M $209,05M $208,01M $206,84M $168,24M $217,44M $279,47M $288,43M $175,97M
FCF Free Cash Flow $474,36M $501,61M $346,49M $294,91M $532,03M $380,02M $340,42M $301,09M $235,64M $245,09M $223,11M $195,21M $167,99M $160,47M $157,70M $125,38M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 12,40% 13,48% 15,89% 16,76% 17,92% 15,02% 14,79% 15,10% 16,85% 16,24% 16,87% 14,79% 13,35% 15,55% 15,34% 12,94% 16,17% 19,26% 18,46% 17,78%
GM % Gross Margin % 34,98% 34,76% 37,03% 36,91% 37,78% 36,72% 36,82% 37,19% 38,86% 39,14% 39,14% 36,68% 34,24% 35,13% 35,29% 34,91% 36,53% 38,51% 38,86% 38,42%
FCFS Free Cash Flow Per Share $10,46 $9,76 $7,13 $5,80 $10,58 $7,67 $6,99 $6,20 $4,92 $5,52 $5,20 $4,16 $3,52 $3,35 $3,07 $2,02 $2,22 $1,25 $0,85 $-0,25
LT Debt Long-Term Debt $2,11B $2,21B $2,62B $2,68B $2,64B $1,90B $1,82B $1,61B $1,09B $1,18B $814,24M $716,64M $641,81M $527,08M $703,17M $670,22M $457,31M $479,68M $485,00M $547,08M
Sha. Stocks 49,23M 51,14M 51,35M 50,99M 50,49M 49,78M 48,96M 48,23M 47,43M 47,37M 46,72M 47,33M 47,66M 48,18M 48,89M 56,48M 65,89M 66,79M 68,18M 66,93M
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