REGAL REXNORD CORP (RRX)

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CIK 0000082811 · NYSE · General Industrial Machinery & Equipment, NEC

  • Sector Manufacturing
  • Incorporated WI
  • Fiscal year ends Dec 31

In fiscal 2025, REGAL REXNORD CORP reported revenue of $5.93B, down 1.6% from the prior year. The company was profitable, with a net margin of 4.7% and a gross margin of 37.4%.

Key ratios (FY2025)

37.4%
Gross margin
11.5%
Operating margin
4.7%
Net margin
4.1%
Return on equity
-1.6%
Revenue growth (YoY)
Metric (FY)2025202420232022202120192018201720162015
Revenue$5.93B$6.03B$6.25B$5.22B$3.65B$3.36B$3.22B
Cost of Revenue$3.72B$3.84B$4.18B$3.55B$2.10B$2.38B$2.68B$2.48B$2.36B
Gross Profit$2.22B$2.19B$2.07B$1.67B$806.60M$860.70M$964.60M$883.60M$865.00M$797.30M
Operating Income$680.80M$630.00M$377.10M$690.40M$278.00M$351.10M$347.00M$331.10M$322.50M$121.50M
Net Income$279.50M$196.20M-$57.40M$488.90M$187.70M$238.90M$231.20M$213.00M$203.40M$31.00M
EPS (Diluted)$4.20$2.94$-0.87$7.29$4.60$5.66$5.26$4.74$4.52$0.69
Total Assets$13.92B$14.03B$15.43B$10.27B$4.59B$4.43B$4.62B$4.39B$4.36B$3.36B
Shareholders' Equity$6.85B$6.27B$6.37B$6.42B$2.62B$2.42B$2.34B$2.35B$2.08B$1.98B
Cash & Equivalents$521.70M$393.50M$574.00M$688.50M$611.30M$331.40M$248.60M$139.60M$284.50M$334.10M
Operating Cash Flow$990.80M$609.40M$715.30M$436.20M$435.40M$408.50M$362.70M$291.90M$442.30M$298.20M
Capital Expenditures$97.70M$109.50M$119.10M$83.80M$47.50M$92.40M$77.60M$65.20M$65.20M$83.60M
Shares Outstanding66.60M66.70M66.30M67.10M40.80M42.20M43.90M44.90M45.00M45.30M
Dividends Per Share$1.40$1.40$1.38$1.38$1.20$1.18$1.10$1.02$0.95$0.86