Central Garden & Pet
NasdaqGS:CENT
$ 37,02
$-0,31 (-0,83%)
37,02 $
$-0,31 (-0,83%)
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.

$2,73
Earnings Per Share
$50,20
Revenue Per Share
32,05%
Gross Margin %
$2,07 B
Market Cap
$1,19 B
Long-Term Debt
Earnings Per Share
$2,73
Revenue Per Share
$50,20
Gross Margin %
32,05%
Market Cap
$2,07 B
Long-Term Debt
$1,19 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 $2,73 $2,13 $2,07 $2,80 $2,92 $2,26 $1,60 $1,91 $1,50 $1,26 $0,74 $0,33 $0,06 $0,44 $0,50 $0,82 $0,94 $0,49 $0,45 $2,83
Earnings Earnings $170,16M $142,97M $132,69M $151,54M $161,04M $123,94M $89,49M $110,42M $77,78M $64,40M $37,04M $16,84M $2,96M $21,41M $24,27M $50,58M $63,93M $34,88M $32,32M $202,12M
RPS Revenue Per Share $50,20 $47,68 $51,64 $61,69 $59,90 $49,15 $42,61 $38,32 $39,62 $35,79 $32,98 $31,44 $33,56 $34,94 $33,56 $24,70 $23,74 $23,96 $23,27 $22,70
Revenue Revenue $3,13B $3,20B $3,31B $3,34B $3,30B $2,70B $2,38B $2,22B $2,05B $1,83B $1,65B $1,60B $1,65B $1,70B $1,63B $1,52B $1,61B $1,71B $1,67B $1,62B
OCF Operating Cash Flow $332,51M $394,89M $381,63M $-34,03M $250,84M $264,27M $204,97M $114,11M $114,31M $151,43M $0,00M $126,47M $0,00M $89,17M $51,01M $135,23M $221,64M $115,03M $38,54M $95,17M
FCF Free Cash Flow $171,89M $351,76M $327,67M $-149,24M $170,51M $221,22M $173,40M $76,27M $69,65M $123,80M $0,00M $109,29M $-53,45M $49,58M $19,45M $0,00M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 8,50% 6,95% 7,01% 7,79% 7,78% 7,34% 6,35% 7,55% 7,60% 7,04% 5,98% 4,49% 2,89% 4,38% 5,23% 7,95% 7,80% 6,18% 5,95% 8,44%
GM % Gross Margin % 32,05% 30,00% 28,90% 29,72% 29,39% 29,55% 29,54% 30,49% 30,80% 30,24% 29,57% 28,92% 28,05% 30,24% 30,33% 33,81% 32,67% 30,57% 31,97% 33,01%
FCFS Free Cash Flow Per Share $4,61 $5,35 $6,25 $-2,80 $3,16 $4,10 $3,05 $1,47 $1,39 $2,53 $1,35 $2,24 $-1,11 $1,04 $0,35 $1,73 $2,95 $1,30 $-0,30 $0,70
LT Debt Long-Term Debt $1,19B $1,19B $1,19B $1,19B $1,18B $693,86M $693,04M $692,03M $395,28M $394,81M $396,69M $449,95M $472,45M $449,48M $435,33M $400,11M $404,82M $519,81M $607,17M $565,41M
Sha. Stocks 62,33M 67,12M 64,1M 54,12M 55,15M 54,84M 55,93M 57,81M 51,85M 51,11M 50,05M 51,03M 49,28M 48,65M 48,53M 61,68M 68,01M 71,19M 71,83M 71,42M
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