Main
Market Cap$4.50B
Enterprise Value$4.48B
Revenue (TTM)$2.09B
Net Income (TTM)$251.02M
Free Cash Flow (TTM)$298.12M
Financial Health
Cash$328.37M
Net Debt-$12.30M
Debt Ratio0.19
Debt to Equity0.35
Interest Coverage4.66
Valuation (TTM)
Price to Sales2.15
Price to Earnings17.91
EV to EBITDA10.35
Price to Book4.93
Price to Free Cash Flow15.08
Margins (TTM)
Gross Profit Margin38.37%
EBITDA Margin20.75%
Operating Income Margin15.03%
Net Income Margin12.02%
Free Cash Flow Margin14.28%
Returns (5Y Avg)
Return on Invested Capital14.92%
Return on Assets12.03%
Return on Equity21.00%
Return on Total Capital14.92%
Return on Capital Employed20.36%
Dividend Summary
Dividend Yield-
Annual Dividend-
Payout Ratio-
Ex Dividend Date-
5-Year Dividend CAGR-
CAGR (5Y)
Revenue16.85%
Diluted EPS24.30%
Total Debt5.09%
Capital Expenditures4.49%
Free Cash Flow13.15%
CAGR (3Y)
Revenue13.92%
Diluted EPS22.27%
Total Debt5.96%
Capital Expenditures5.47%
Free Cash Flow34.95%
CAGR (1Y)
Revenue13.56%
Diluted EPS28.02%
Total Debt3.44%
Capital Expenditures13.70%
Free Cash Flow34.13%