Upbound Group
NasdaqGS:UPBD
$ 17,46
$-0,76 (-4,17%)
17,46 $
$-0,76 (-4,17%)
End-of-day quote: 04/07/2026

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

$3,83
Earnings Per Share
$75,24
Revenue Per Share
48,15%
Gross Margin %
$1,02 B
Market Cap
$1,31 B
Long-Term Debt
Earnings Per Share
$3,83
Revenue Per Share
$75,24
Gross Margin %
48,15%
Market Cap
$1,02 B
Long-Term Debt
$1,31 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 $4,13 $3,83 $3,55 $3,70 $5,57 $3,53 $2,24 $1,06 $-0,54 $0,77 $2,03 $1,95 $2,32 $3,09 $2,91 $2,81 $2,48 $2,04 $1,99 $2,15
Earnings Earnings $240,04M $219,92M $193,19M $206,20M $328,80M $192,07M $123,72M $57,22M $-28,84M $40,96M $107,77M $103,41M $122,45M $179,87M $172,56M $178,49M $162,96M $134,62M $132,75M $151,19M
RPS Revenue Per Share $80,78 $75,24 $73,36 $76,18 $77,65 $51,72 $48,34 $49,29 $50,60 $55,70 $61,75 $59,55 $58,81 $52,96 $48,60 $43,00 $41,88 $43,71 $43,51 $34,61
Revenue Revenue $4,70B $4,32B $3,99B $4,25B $4,58B $2,81B $2,67B $2,66B $2,70B $2,96B $3,28B $3,16B $3,10B $3,08B $2,88B $2,73B $2,75B $2,88B $2,90B $2,43B
OCF Operating Cash Flow $273,00M $104,72M $200,29M $468,50M $392,30M $236,50M $215,42M $227,51M $110,53M $353,74M $230,49M $19,11M $134,34M $217,90M $286,63M $216,49M $330,10M $384,70M $0,00M $0,00M
FCF Free Cash Flow $179,50M $48,45M $232,16M $407,10M $329,85M $202,12M $194,26M $199,54M $45,07M $292,59M $149,62M $-64,67M $25,98M $115,45M $153,92M $123,48M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 0,00% 7,55% 4,31% 3,78% 6,64% 9,02% 9,56% 3,67% -0,38% 3,54% 6,63% 6,36% 8,02% 10,21% 10,94% 11,81% 10,59% 9,51% 10,50% 12,13%
GM % Gross Margin % 0,00% 48,15% 50,65% 48,98% 48,76% 59,42% 61,58% 63,45% 63,59% 65,30% 65,67% 68,96% 69,60% 69,50% 71,21% 73,06% 72,24% 14,44% 15,30% 16,20%
FCFS Free Cash Flow Per Share $0,00 $0,89 $2,67 $7,56 $5,78 $3,73 $3,58 $3,73 $0,85 $5,51 $2,83 $-1,22 $0,47 $1,96 $2,52 $1,90 $3,96 $4,84 $2,01 $1,48
LT Debt Long-Term Debt $1,31B $1,31B $1,31B $1,37B $1,57B $190,49M $230,91M $540,04M $672,89M $724,23M $955,83M $1,04B $916,28M $687,50M $740,68M $701,11M $711,16M $947,09M $1,26B $1,29B
Sha. Stocks 58,12M 57,42M 54,42M 55,73M 59,03M 54,41M 55,23M 53,98M 53,41M 53,2M 53,09M 53,03M 52,78M 58,21M 59,3M 63,52M 65,71M 65,99M 66,71M 70,32M
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