The Greenbrier Compa...
NYSE:GBX
$ 52,49
+ $0,32 (0,61%)
52,49 $
+$0,32 (0,61%)
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.

$6,59
Earnings Per Share
$104,66
Revenue Per Share
18,75%
Gross Margin %
$1,62 B
Market Cap
$1,75 B
Long-Term Debt
Earnings Per Share
$6,59
Revenue Per Share
$104,66
Gross Margin %
18,75%
Market Cap
$1,62 B
Long-Term Debt
$1,75 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 $6,59 $4,96 $2,97 $1,40 $1,10 $2,10 $2,87 $4,13 $3,76 $5,73 $6,09 $3,07 $2,00 $1,91 $0,44 $-0,37 $-0,18 $1,54 $2,22 $2,44
Earnings Earnings $204,03M $155,45M $92,46M $45,89M $35,73M $68,92M $93,25M $132,94M $107,16M $162,50M $173,32M $84,06M $56,14M $51,84M $11,08M $-8,10M $-3,07M $25,59M $35,90M $38,94M
RPS Revenue Per Share $104,66 $113,10 $126,69 $90,84 $53,82 $85,08 $93,37 $78,27 $76,11 $94,48 $91,54 $80,50 $62,57 $66,61 $49,36 $34,94 $59,61 $77,62 $75,69 $53,34
Revenue Revenue $3,24B $3,54B $3,94B $2,98B $1,75B $2,79B $3,03B $2,52B $2,17B $2,68B $2,61B $2,20B $1,76B $1,81B $1,24B $764,45M $1,02B $1,29B $1,22B $851,29M
OCF Operating Cash Flow $265,70M $329,60M $71,20M $-150,40M $-40,53M $272,26M $-21,24M $103,34M $280,39M $331,67M $192,33M $135,91M $104,59M $116,06M $-34,25M $42,56M $120,47M $32,12M $46,33M $0,00M
FCF Free Cash Flow $62,60M $-68,70M $-212,10M $-531,10M $-179,54M $288,87M $-94,05M $79,72M $218,47M $192,66M $86,34M $65,68M $119,10M $31,73M $-118,55M $0,00M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 10,62% 8,78% 5,22% 2,71% 2,28% 5,31% 5,05% 8,28% 11,56% 14,66% 14,80% 8,94% 5,88% 6,08% 4,76% 4,24% 2,50% 5,98% 7,85% 9,06%
GM % Gross Margin % 18,75% 15,76% 11,18% 10,28% 13,25% 12,65% 12,08% 16,24% 19,42% 20,58% 20,63% 14,62% 11,75% 11,86% 11,22% 13,49% 8,97% 12,58% 14,66% 16,50%
FCFS Free Cash Flow Per Share $-0,47 $-2,21 $-9,10 $-16,31 $-5,50 $6,28 $-6,73 $-2,38 $6,83 $6,80 $3,07 $2,33 $1,64 $-0,07 $-4,92 $-0,13 $4,85 $-2,78 $-5,67 $-6,41
LT Debt Long-Term Debt $1,75B $1,40B $1,31B $1,27B $826,50M $804,09M $822,89M $436,21M $558,23M $301,85M $326,43M $445,09M $373,89M $428,08M $429,14M $498,70M $525,15M $601,82M $500,48M $364,41M
Sha. Stocks 30,96M 31,34M 31,13M 32,78M 32,48M 32,82M 32,49M 32,19M 28,5M 28,36M 28,46M 27,38M 28,07M 27,14M 25,19M 21,88M 17,08M 16,62M 16,17M 15,96M
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