Xylem
NYSE:XYL
$ 117,55
$-1,94 (-1,62%)
117,55 $
$-1,94 (-1,62%)
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.

$5,08
Earnings Per Share
$37,16
Revenue Per Share
38,46%
Gross Margin %
$29,05 B
Market Cap
$1,41 B
Long-Term Debt
Earnings Per Share
$5,08
Revenue Per Share
$37,16
Gross Margin %
38,46%
Market Cap
$29,05 B
Long-Term Debt
$1,41 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011
EPS Earnings Per Share $5,08 $4,27 $3,78 $2,85 $2,49 $2,06 $3,02 $2,88 $2,40 $2,03 $1,85 $1,97 $1,67 $1,77 $1,93
Earnings Earnings $1,24B $1,04B $913,89M $513,80M $447,95M $371,54M $544,26M $517,10M $431,74M $364,32M $330,21M $359,15M $308,42M $328,62M $356,51M
RPS Revenue Per Share $37,16 $35,23 $30,46 $30,63 $28,88 $27,03 $29,13 $29,00 $26,17 $21,01 $20,47 $21,48 $20,78 $20,42 $20,59
Revenue Revenue $9,04B $8,56B $7,36B $5,52B $5,20B $4,88B $5,25B $5,21B $4,71B $3,77B $3,65B $3,92B $3,84B $3,79B $3,80B
OCF Operating Cash Flow $1,24B $1,26B $837,00M $596,00M $538,00M $824,00M $839,00M $586,00M $686,00M $497,00M $464,00M $416,00M $324,00M $396,00M $449,00M
FCF Free Cash Flow $879,60M $942,00M $680,90M $388,00M $330,00M $641,00M $613,00M $349,00M $516,00M $373,00M $347,00M $297,00M $198,00M $284,00M $323,00M
OM Operating Margin 14,68% 13,09% 11,57% 11,61% 11,13% 9,95% 13,15% 13,19% 12,32% 12,89% 12,46% 12,49% 11,81% 12,71% 12,81%
GM % Gross Margin % 38,46% 37,51% 36,90% 37,74% 38,02% 37,53% 38,98% 38,91% 39,24% 39,54% 38,43% 38,64% 39,07% 39,62% 38,42%
FCFS Free Cash Flow Per Share $3,59 $3,88 $2,61 $2,15 $1,83 $3,56 $3,41 $1,94 $2,87 $2,08 $1,92 $1,62 $1,07 $1,53 $1,75
LT Debt Long-Term Debt $1,41B $1,98B $2,27B $1,88B $2,44B $2,48B $2,04B $2,05B $2,20B $2,11B $1,20B $1,20B $1,20B $1,20B $1,20B
Sha. Stocks 243,14M 243,05M 241,77M 180,28M 179,9M 180,36M 180,22M 179,55M 179,89M 179,47M 178,49M 182,31M 184,68M 185,66M 184,72M
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