SPX Technologies financials at a glance

Year Year 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Rev. Revenue
$3.64B $3.73B $3.93B $4.54B $5.83B $4.18B $4.10B $4.27B $4.89B $1.97B $1.69B $1.56B $1.47B $1.43B $1.51B $1.12B $1.13B $1.22B $1.46B $1.74B $0.00M
GM % Gross Margin %
28.36% 27.55% 27.96% 29.06% 30.30% 30.28% 30.05% 28.24% 27.39% 24.55% 21.62% 17.70% 25.52% 23.16% 27.11% 35.78% 35.06% 35.41% 35.86% 38.69% 0.00%
OM Operating Margin
7.54% 7.31% 7.81% 9.19% 10.50% 10.30% 8.60% 6.70% 3.79% 1.71% -8.88% -5.99% 4.89% 3.32% 7.62% 9.56% 9.40% 9.59% 9.86% 13.12% 0.00%
EPS Earnings Per Share
$2.62 $3.07 $4.85 $6.53 $3.90 $3.62 $4.38 $4.57 $4.99 $5.53 $1.54 $1.47 $1.78 $2.20 $2.76 $2.80 $2.33 $3.10 $4.31 $0.00
Div. Dividends
$1.00 $1.00 $1.00 $1.00 $1.00 $1.00 $1.00 $1.00 $1.00 $1.00 $1.50 $0.75 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00
PR % Payout Ratio %
117.65% 38.17% 32.57% 20.62% 15.31% 25.64% 27.62% 22.83% 21.88% 20.04% 27.12% 48.70% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0
Sha. Shares
75.14m 65.81m 57.38m 52.39m 54.42m 49.29m 50.2m 51.02m 50.81m 45.35m 41.07m 40.8m 41.89m 42.61m 43.39m 44.15m 44.58m 44.78m 45.19m 45.65m 45.65m
OCF Operating Cash Flow
$172.60M $-133.50M $72.00M $460.70M $405.90M $471.10M $253.60M $322.60M $69.80M $105.30M $76.40M $-38.50M $-1.20M $46.90M $110.60M $148.60M $126.30M $174.60M $-136.80M $208.50M $0.00M
FCF Free Cash Flow
$139.70M $-202.10M $13.90M $369.80M $289.50M $378.30M $181.00M $172.30M $0.40M $50.40M $15.30M $-56.40M $-5.20M $36.60M $98.20M $130.80M $104.80M $165.00M $-153.00M $178.30M $0.00M
FCFS Free Cash Flow Per Share
$1.88 $-2.46 $0.39 $6.82 $5.40 $7.79 $3.67 $3.51 $-0.24 $1.61 $1.35 $-1.34 $-0.31 $0.85 $2.28 $3.07 $2.49 $3.64 $-3.37 $4.05 $0.00