Pool
NasdaqGS:POOL
$ 202,33
+ $1,84 (0,92%)
202,33 $
+$1,84 (0,92%)
End-of-day quote: 03/31/2026

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

$10,73
Earnings Per Share
$143,77
Revenue Per Share
29,73%
Gross Margin %
$7,43 B
Market Cap
$1,19 B
Long-Term Debt
Earnings Per Share
$10,73
Revenue Per Share
$143,77
Gross Margin %
29,73%
Market Cap
$7,43 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 $10,73 $11,07 $13,18 $18,43 $15,18 $8,42 $6,40 $5,62 $3,99 $3,47 $2,90 $2,44 $2,05 $1,85 $1,49 $1,15 $0,95 $1,18 $1,37 $1,74
Earnings Earnings $394,76M $416,56M $505,85M $720,61M $609,78M $338,74M $257,22M $221,37M $161,20M $142,83M $121,92M $106,43M $92,27M $85,88M $70,79M $56,18M $46,70M $56,86M $64,95M $88,20M
RPS Revenue Per Share $143,77 $141,14 $144,39 $158,05 $131,83 $97,85 $79,61 $76,11 $69,01 $62,46 $56,21 $51,50 $46,21 $42,09 $37,75 $33,03 $31,32 $37,01 $40,67 $37,68
Revenue Revenue $5,29B $5,31B $5,54B $6,18B $5,30B $3,94B $3,20B $3,00B $2,79B $2,57B $2,36B $2,25B $2,08B $1,95B $1,79B $1,61B $1,54B $1,78B $1,93B $1,91B
OCF Operating Cash Flow $467,07M $659,19M $888,23M $484,85M $313,49M $397,58M $298,78M $118,66M $175,31M $165,38M $146,05M $121,82M $105,09M $119,08M $75,10M $93,96M $113,25M $93,28M $71,64M $69,01M
FCF Free Cash Flow $425,65M $599,71M $789,33M $441,24M $275,83M $375,88M $265,41M $87,08M $135,92M $131,03M $116,96M $104,49M $86,35M $102,81M $55,65M $85,88M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 10,97% 11,62% 13,48% 16,61% 15,73% 11,96% 10,67% 10,47% 10,20% 9,95% 9,15% 8,41% 7,96% 7,77% 7,06% 6,27% 5,74% 6,47% 6,94% 8,76%
GM % Gross Margin % 29,73% 29,66% 29,96% 31,29% 30,54% 28,73% 28,91% 29,02% 28,88% 28,83% 28,59% 28,64% 28,43% 29,04% 29,64% 29,20% 29,21% 28,89% 27,52% 28,27%
FCFS Free Cash Flow Per Share $8,33 $15,78 $21,40 $11,20 $6,92 $9,37 $6,66 $2,16 $3,33 $3,13 $2,71 $2,36 $1,87 $2,19 $1,16 $1,74 $2,18 $1,80 $1,25 $1,05
LT Debt Long-Term Debt $1,19B $900,88M $1,02B $1,36B $1,17B $404,15M $499,66M $657,59M $508,82M $436,94M $326,35M $319,31M $246,42M $230,88M $247,30M $198,70M $200,70M $301,00M $279,53M $188,16M
Sha. Stocks 36,79M 37,63M 38,38M 39,1M 40,17M 40,23M 40,19M 39,39M 40,4M 41,16M 42,04M 43,62M 45,01M 46,42M 47,51M 48,85M 49,16M 48,19M 47,41M 50,69M
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