The Timken
NYSE:TKR
$ 97,56
$-1,50 (-1,51%)
97,56 $
$-1,50 (-1,51%)
End-of-day quote: 03/27/2026

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

$5,33
Earnings Per Share
$65,89
Revenue Per Share
30,41%
Gross Margin %
$6,79 B
Market Cap
$1,88 B
Long-Term Debt
Earnings Per Share
$5,33
Revenue Per Share
$65,89
Gross Margin %
30,41%
Market Cap
$6,79 B
Long-Term Debt
$1,88 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 $5,33 $5,79 $7,05 $6,02 $4,72 $4,10 $4,60 $4,18 $2,63 $1,97 $2,21 $2,55 $3,09 $4,66 $4,70 $2,95 $0,53 $3,26 $2,40 $2,48
Earnings Earnings $370,65M $405,30M $494,42M $435,79M $353,67M $310,41M $347,62M $316,72M $204,82M $152,81M $176,87M $224,94M $286,69M $447,08M $459,38M $288,78M $51,36M $314,82M $229,94M $233,54M
RPS Revenue Per Share $65,89 $65,33 $68,00 $62,12 $55,16 $46,40 $50,15 $47,26 $38,57 $34,42 $35,89 $34,87 $46,79 $51,98 $52,90 $41,43 $32,42 $58,65 $54,65 $52,81
Revenue Revenue $4,58B $4,57B $4,77B $4,50B $4,13B $3,51B $3,79B $3,58B $3,00B $2,67B $2,87B $3,08B $4,34B $4,99B $5,17B $4,06B $3,14B $5,66B $5,24B $4,97B
OCF Operating Cash Flow $554,30M $475,60M $545,20M $463,80M $387,30M $577,60M $550,10M $332,50M $236,80M $402,00M $374,80M $307,00M $432,40M $626,10M $211,70M $312,70M $584,06M $569,38M $336,67M $336,93M
FCF Free Cash Flow $377,00M $305,60M $440,00M $285,40M $239,00M $456,00M $409,50M $219,90M $132,10M $264,50M $269,20M $180,20M $106,60M $328,90M $6,40M $145,60M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 12,01% 13,39% 14,79% 14,65% 13,23% 14,17% 14,05% 13,01% 9,61% 7,35% 12,72% 12,28% 10,80% 14,34% 14,51% 11,43% 3,76% 9,91% 7,61% 7,08%
GM % Gross Margin % 30,41% 31,63% 31,77% 29,52% 27,96% 28,97% 30,21% 29,05% 27,04% 26,46% 28,66% 29,92% 28,80% 30,85% 26,62% 25,33% 18,81% 22,92% 21,48% 20,58%
FCFS Free Cash Flow Per Share $5,82 $4,35 $5,01 $3,88 $3,15 $6,05 $5,41 $2,85 $1,70 $3,39 $3,25 $1,99 $3,12 $5,23 $0,04 $2,04 $4,93 $3,34 $0,55 $0,44
LT Debt Long-Term Debt $1,88B $2,04B $1,78B $1,91B $1,41B $1,43B $1,65B $1,64B $854,20M $635,00M $579,40M $522,10M $176,40M $455,10M $478,80M $481,70M $469,30M $515,25M $580,59M $547,39M
Sha. Stocks 69,54M 70M 70,13M 72,39M 74,93M 75,71M 75,57M 75,77M 77,88M 77,57M 80,03M 88,21M 92,78M 95,94M 97,74M 97,89M 96,9M 96,57M 95,81M 94,17M
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