Bruker
NasdaqGS:BRKR
$ 34,86
+ $1,51 (4,53%)
34,86 $
+$1,51 (4,53%)
End-of-day quote: 03/23/2026

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

$2,41
Earnings Per Share
$22,19
Revenue Per Share
50,00%
Gross Margin %
$5,31 B
Market Cap
$2,05 B
Long-Term Debt
Earnings Per Share
$2,41
Revenue Per Share
$22,19
Gross Margin %
50,00%
Market Cap
$5,31 B
Long-Term Debt
$2,05 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 $1,83 $2,41 $2,58 $2,34 $2,10 $1,35 $1,57 $1,40 $1,21 $1,19 $0,89 $0,75 $0,77 $0,83 $0,72 $0,69 $0,49 $0,45 $0,34 $0,21
Earnings Earnings $278,56M $365,62M $355,19M $343,35M $316,62M $204,62M $242,09M $219,41M $188,66M $190,05M $145,23M $126,19M $128,78M $138,02M $119,26M $114,01M $80,59M $73,83M $55,54M $22,10M
RPS Revenue Per Share $22,58 $22,19 $21,53 $17,25 $16,04 $13,11 $13,44 $12,10 $11,33 $10,09 $9,95 $10,75 $11,00 $10,77 $9,97 $7,90 $6,78 $6,75 $3,35 $4,14
Revenue Revenue $3,44B $3,37B $2,96B $2,53B $2,42B $1,99B $2,07B $1,90B $1,77B $1,61B $1,62B $1,81B $1,84B $1,79B $1,65B $1,30B $1,11B $1,11B $547,58M $435,83M
OCF Operating Cash Flow $143,50M $251,20M $350,10M $274,40M $282,40M $333,20M $213,40M $239,70M $154,40M $130,80M $229,20M $114,30M $145,00M $133,10M $87,70M $156,10M $149,80M $105,50M $28,21M $0,00M
FCF Free Cash Flow $25,67M $133,80M $272,28M $145,20M $190,40M $235,00M $140,40M $190,50M $110,70M $93,70M $195,00M $80,50M $94,70M $63,60M $33,30M $124,20M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 0,00% 12,19% 16,33% 18,04% 17,57% 13,35% 14,69% 14,52% 13,34% 12,90% 11,25% 8,62% 9,67% 10,17% 9,94% 12,93% 12,30% 10,54% 14,05% 13,14%
GM % Gross Margin % 0,00% 50,00% 51,25% 51,65% 50,17% 47,48% 48,28% 47,82% 46,53% 46,94% 44,94% 43,58% 44,16% 46,30% 45,56% 46,84% 46,43% 45,61% 46,07% 47,04%
FCFS Free Cash Flow Per Share $0,00 $0,91 $1,66 $0,98 $1,26 $1,53 $0,90 $1,22 $0,70 $0,58 $1,16 $0,48 $0,57 $0,36 $0,16 $0,76 $0,82 $0,37 $0,50 $0,38
LT Debt Long-Term Debt $2,05B $2,05B $1,12B $1,18B $1,24B $896,90M $828,60M $315,50M $414,30M $391,60M $265,20M $354,20M $354,30M $335,90M $219,40M $86,60M $115,70M $182,80M $8,60M $22,86M
Sha. Stocks 152,22M 151,71M 137,67M 146,73M 150,77M 151,57M 154,2M 156,72M 155,92M 159,71M 163,18M 168,25M 167,25M 166,29M 165,64M 165,23M 164,47M 164,07M 163,36M 105,24M
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