Itron
NasdaqGS:ITRI
$ 92,69
$-0,71 (-0,76%)
92,69 $
$-0,71 (-0,76%)
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.

$7,13
Earnings Per Share
$52,67
Revenue Per Share
37,69%
Gross Margin %
$4,20 B
Market Cap
$0,79 B
Long-Term Debt
Earnings Per Share
$7,13
Revenue Per Share
$52,67
Gross Margin %
37,69%
Market Cap
$4,20 B
Long-Term Debt
$0,79 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 $7,13 $5,62 $3,36 $1,13 $1,75 $1,85 $3,32 $2,65 $3,06 $2,54 $1,01 $1,60 $1,90 $3,62 $4,29 $3,89 $2,12 $3,36 $2,81 $2,39
Earnings Earnings $320,42M $253,91M $153,15M $51,18M $78,77M $74,85M $132,67M $104,78M $118,67M $97,36M $38,62M $61,23M $74,40M $142,27M $170,87M $157,58M $85,16M $123,48M $86,18M $61,54M
RPS Revenue Per Share $52,67 $54,02 $47,69 $39,65 $44,03 $53,72 $62,62 $60,09 $52,04 $52,52 $49,11 $51,49 $49,76 $55,42 $61,11 $55,77 $42,01 $51,96 $47,74 $25,01
Revenue Revenue $2,37B $2,44B $2,17B $1,80B $1,98B $2,17B $2,50B $2,38B $2,02B $2,01B $1,88B $1,97B $1,95B $2,18B $2,43B $2,26B $1,69B $1,91B $1,46B $644,04M
OCF Operating Cash Flow $403,18M $238,18M $124,97M $24,50M $154,79M $109,51M $172,84M $109,76M $191,35M $115,84M $73,35M $132,97M $105,42M $205,09M $252,36M $254,59M $140,79M $193,15M $133,33M $94,77M
FCF Free Cash Flow $408,03M $207,61M $98,30M $4,75M $120,11M $63,31M $112,09M $49,80M $141,86M $72,30M $29,43M $88,48M $45,40M $154,55M $192,28M $191,77M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 13,27% 10,86% 7,87% 0,99% 1,86% 3,79% 5,41% 4,89% 7,82% 7,21% 1,98% 3,32% 3,77% 7,15% 7,61% 8,15% 2,67% 5,75% 6,72% 9,59%
GM % Gross Margin % 37,69% 34,39% 32,84% 29,08% 28,92% 27,71% 30,06% 30,74% 33,53% 32,91% 29,56% 31,53% 31,72% 32,83% 30,31% 31,01% 31,85% 33,87% 34,38% 41,53%
FCFS Free Cash Flow Per Share $8,42 $4,58 $2,16 $0,11 $2,71 $1,57 $2,83 $1,27 $3,67 $1,89 $0,77 $2,26 $1,16 $3,90 $4,73 $4,75 $2,28 $3,92 $3,13 $2,48
LT Debt Long-Term Debt $788,81M $1,24B $454,83M $452,53M $450,23M $903,53M $932,48M $988,19M $593,57M $290,46M $358,92M $293,97M $352,97M $400,85M $437,50M $383,20M $774,57M $1,15B $1,58B $469,32M
Sha. Stocks 44,94M 45,18M 45,58M 45,29M 45,01M 40,46M 39,96M 39,54M 38,78M 38,33M 38,24M 38,27M 39,16M 39,3M 39,83M 40,51M 40,17M 36,75M 30,67M 25,75M
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