Open Text
NasdaqGS:OTEX
$ 22,57
$-0,04 (-0,18%)
22,57 $
$-0,04 (-0,18%)
End-of-day quote: 03/20/2026

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

$3,82
Earnings Per Share
$20,70
Revenue Per Share
75,90%
Gross Margin %
$5,62 B
Market Cap
$6,34 B
Long-Term Debt
Earnings Per Share
$3,82
Revenue Per Share
$20,70
Gross Margin %
75,90%
Market Cap
$5,62 B
Long-Term Debt
$6,34 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 $3,82 $4,17 $3,29 $3,22 $3,39 $2,89 $2,76 $2,56 $2,02 $1,77 $1,73 $1,69 $1,39 $1,15 $1,01 $0,78 $0,62 $0,51 $0,37 $0,25
Earnings Earnings $953,74M $1,11B $880,57M $856,87M $915,94M $783,91M $743,02M $683,42M $531,18M $427,53M $420,98M $408,96M $324,80M $264,80M $231,62M $177,36M $139,25M $104,38M $74,44M $48,97M
RPS Revenue Per Share $20,70 $21,77 $16,76 $13,13 $12,53 $11,46 $10,66 $10,55 $8,71 $7,55 $7,61 $6,71 $5,83 $5,24 $4,51 $4,01 $3,50 $3,55 $2,96 $2,09
Revenue Revenue $5,17B $5,77B $4,49B $3,49B $3,39B $3,11B $2,87B $2,82B $2,29B $1,82B $1,85B $1,62B $1,36B $1,21B $1,03B $912,02M $785,67M $725,53M $595,66M $409,56M
OCF Operating Cash Flow $830,62M $967,69M $779,21M $981,81M $876,12M $954,54M $876,28M $709,89M $439,25M $525,72M $523,03M $417,13M $318,50M $266,49M $223,22M $180,19M $176,17M $165,98M $110,86M $0,00M
FCF Free Cash Flow $687,40M $808,40M $655,37M $888,70M $812,45M $881,83M $812,44M $604,57M $359,66M $455,71M $445,99M $374,86M $295,40M $240,66M $186,56M $0,00M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 19,82% 17,50% 15,12% 19,70% 21,84% 19,36% 20,95% 18,98% 18,26% 22,11% 19,52% 20,42% 16,26% 14,40% 16,08% 16,58% 14,27% 13,85% 10,72% 9,55%
GM % Gross Margin % 75,90% 76,87% 75,62% 75,28% 75,91% 74,34% 73,95% 72,82% 72,46% 72,60% 72,06% 72,87% 71,23% 72,38% 73,58% 74,12% 74,02% 73,64% 72,13% 69,83%
FCFS Free Cash Flow Per Share $2,61 $2,98 $2,42 $3,28 $2,98 $3,26 $3,02 $2,27 $1,42 $1,88 $1,83 $1,57 $1,26 $1,04 $0,82 $0,71 $0,79 $0,78 $0,53 $0,21
LT Debt Long-Term Debt $6,34B $6,36B $8,56B $4,21B $3,58B $3,58B $2,60B $2,61B $2,39B $2,14B $1,55B $1,26B $513,75M $555,00M $282,03M $285,03M $299,23M $304,30M $366,77M $12,96M
Sha. Stocks 249,67M 265,05M 267,65M 266,11M 270,19M 271,25M 269,21M 266,96M 262,96M 241,54M 243,34M 241,99M 233,67M 230,26M 229,33M 227,39M 224,6M 204,66M 201,18M 195,89M
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