O'Reilly Automotive
NasdaqGS:ORLY
$ 90,11
$-2,16 (-2,34%)
90,11 $
$-2,16 (-2,34%)
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.

$2,97
Earnings Per Share
$21,21
Revenue Per Share
51,59%
Gross Margin %
$77,37 B
Market Cap
$6,02 B
Long-Term Debt
Earnings Per Share
$2,97
Revenue Per Share
$21,21
Gross Margin %
51,59%
Market Cap
$77,37 B
Long-Term Debt
$6,02 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 $2,97 $2,71 $2,56 $2,23 $2,07 $1,57 $1,19 $1,07 $0,81 $0,72 $0,61 $0,49 $0,40 $0,32 $0,25 $0,20 $0,15 $0,11 $0,11 $0,10
Earnings Earnings $2,49B $2,33B $2,27B $2,07B $2,07B $1,65B $1,34B $1,26B $1,02B $989,71M $889,28M $747,12M $638,19M $534,26M $477,43M $423,39M $309,53M $222,67M $190,39M $170,97M
RPS Revenue Per Share $21,21 $19,45 $17,86 $15,54 $13,34 $11,02 $9,03 $8,11 $7,15 $6,25 $5,46 $4,73 $4,17 $3,70 $3,03 $2,55 $2,35 $1,77 $1,46 $1,34
Revenue Revenue $17,78B $16,71B $15,81B $14,41B $13,33B $11,60B $10,15B $9,54B $8,98B $8,59B $7,97B $7,22B $6,65B $6,18B $5,79B $5,40B $4,85B $3,58B $2,52B $2,28B
OCF Operating Cash Flow $2,76B $3,05B $3,03B $3,15B $3,21B $2,84B $1,71B $1,73B $1,40B $1,45B $1,28B $1,19B $908,03M $1,25B $1,12B $703,69M $285,20M $298,54M $299,42M $185,93M
FCF Free Cash Flow $1,84B $2,03B $2,03B $2,58B $2,76B $2,37B $1,08B $1,22B $937,75M $977,82M $867,46M $760,44M $512,15M $950,84M $790,67M $338,27M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 19,46% 19,46% 20,17% 20,56% 21,98% 20,88% 18,94% 19,15% 19,22% 19,77% 19,24% 17,60% 16,60% 15,81% 14,92% 13,59% 11,09% 9,38% 12,10% 12,36%
GM % Gross Margin % 51,59% 51,20% 51,26% 51,23% 52,67% 52,44% 53,15% 52,85% 52,58% 52,47% 52,25% 51,40% 50,67% 50,10% 49,01% 48,56% 48,00% 45,52% 44,42% 44,09%
FCFS Free Cash Flow Per Share $1,87 $2,32 $2,24 $2,68 $2,67 $2,14 $0,94 $1,00 $0,71 $0,72 $0,62 $0,49 $0,31 $0,52 $0,39 $0,16 $-0,06 $-0,02 $0,01 $-0,03
LT Debt Long-Term Debt $6,02B $5,52B $5,57B $4,37B $3,83B $4,12B $3,89B $3,42B $2,98B $1,89B $1,39B $1,39B $1,40B $1,10B $796,91M $357,27M $692,95M $724,56M $75,15M $110,17M
Sha. Stocks 838,49M 859,09M 885,55M 927,5M 999,01M 1.053,1M 1.123,46M 1.175,63M 1.255,06M 1.374,6M 1.457,84M 1.524,73M 1.595,47M 1.669,57M 1.909,73M 2.116,93M 2.063,5M 2.024,29M 1.730,85M 1.709,73M
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