Cintas
NasdaqGS:CTAS
$ 178,13
$-3,08 (-1,70%)
178,13 $
$-3,08 (-1,70%)
End-of-day quote: 03/24/2026

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

$4,40
Earnings Per Share
$25,66
Revenue Per Share
50,04%
Gross Margin %
$71,26 B
Market Cap
$2,43 B
Long-Term Debt
Earnings Per Share
$4,40
Revenue Per Share
$25,66
Gross Margin %
50,04%
Market Cap
$71,26 B
Long-Term Debt
$2,43 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 $4,40 $3,79 $3,25 $2,82 $2,56 $2,03 $1,90 $1,49 $1,04 $1,02 $0,84 $0,70 $0,63 $0,57 $0,42 $0,37 $0,46 $0,54 $0,52 $0,49
Earnings Earnings $1,77B $1,53B $1,32B $1,14B $1,05B $840,42M $778,91M $633,43M $438,61M $425,17M $370,31M $325,93M $308,25M $288,49M $220,42M $226,25M $281,13M $331,97M $330,10M $314,90M
RPS Revenue Per Share $25,66 $23,81 $21,66 $19,41 $17,28 $17,11 $16,81 $15,23 $12,62 $11,77 $10,16 $9,78 $8,82 $8,10 $7,26 $5,80 $6,18 $6,41 $5,84 $5,30
Revenue Revenue $10,34B $9,60B $8,82B $7,85B $7,12B $7,09B $6,89B $6,48B $5,32B $4,91B $4,48B $4,55B $4,32B $4,10B $3,81B $3,55B $3,77B $3,94B $3,71B $3,40B
OCF Operating Cash Flow $2,17B $2,08B $1,60B $1,54B $1,36B $1,29B $1,07B $964,16M $763,89M $465,85M $580,28M $607,97M $552,75M $469,86M $340,89M $561,57M $523,52M $544,54M $449,39M $0,00M
FCF Free Cash Flow $1,76B $1,67B $1,27B $1,30B $1,22B $1,06B $791,14M $692,46M $490,57M $190,46M $362,56M $462,39M $356,26M $309,06M $158,29M $0,00M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 22,82% 21,56% 20,45% 20,21% 19,54% 16,54% 16,66% 15,31% 16,02% 16,03% 15,65% 14,37% 13,33% 13,16% 11,56% 11,60% 13,13% 14,66% 15,58% 15,95%
GM % Gross Margin % 50,04% 48,83% 47,34% 46,24% 46,58% 45,64% 45,39% 44,91% 44,71% 43,82% 43,32% 41,72% 41,29% 42,38% 42,23% 42,22% 41,81% 42,70% 42,66% 42,74%
FCFS Free Cash Flow Per Share $4,35 $4,11 $3,12 $3,14 $2,90 $2,56 $1,86 $1,62 $1,17 $0,44 $0,78 $0,96 $0,72 $0,59 $0,27 $0,74 $0,59 $0,57 $0,42 $0,45
LT Debt Long-Term Debt $2,43B $2,03B $2,49B $2,48B $1,70B $2,71B $2,57B $2,54B $2,77B $1,06B $1,30B $1,30B $1,30B $1,06B $1,28B $785,44M $786,06M $942,74M $877,07M $794,45M
Sha. Stocks 402,98M 403,08M 406,97M 404,75M 411,87M 414M 409,95M 425,12M 421,74M 416,83M 440,85M 465,61M 489,28M 506,12M 524,82M 611,48M 611,16M 614,76M 634,81M 642,65M
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