PRICE T ROWE GROUP INC (TROW)

↓ Download CSV

CIK 0001113169 · Nasdaq · Investment Advice

  • Sector Finance & Real Estate
  • Incorporated MD
  • Fiscal year ends Dec 31

In fiscal 2025, PRICE T ROWE GROUP INC reported revenue of $7.31B, up 3.1% from the prior year. The company was profitable, with a net margin of 28.5%. It held $14.34B in total assets against $2.29B in total liabilities.

Key ratios (FY2025)

29.9%
Operating margin
28.5%
Net margin
19.2%
Return on equity
+3.1%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$7.31B$7.09B$6.46B$6.49B$7.67B$6.21B$5.62B$5.37B$4.85B$4.28B
Operating Income$2.19B$2.33B$1.99B$2.37B$3.71B$2.75B$2.39B$2.36B$2.11B$1.73B
Net Income$2.09B$2.10B$1.79B$1.56B$3.08B$2.37B$2.13B$1.84B$1.50B$1.22B
EPS (Diluted)$9.24$9.15$7.76$6.70$13.12$9.98$8.70$7.27$5.97$4.75
Total Assets$14.34B$13.47B$12.28B$11.64B$12.51B$10.66B$9.33B$7.69B$7.54B$6.22B
Total Liabilities$2.29B$2.02B$1.99B$1.96B$2.26B$1.39B$1.11B$824.70M$718.20M$529.20M
Shareholders' Equity$10.86B$10.35B$9.51B$8.84B$9.02B$7.71B$7.10B$6.12B$5.82B$5.01B
Cash & Equivalents$3.38B$2.65B$2.07B$1.76B$1.52B$2.15B$1.78B$1.43B$1.90B$1.20B
Operating Cash Flow$1.75B$1.69B$1.22B$2.36B$3.45B$1.92B$1.52B$1.62B$229.50M$170.50M
Capital Expenditures$274.20M$423.40M$307.90M$237.60M$239.10M$214.60M$204.60M$168.50M$186.10M$148.30M
Shares Outstanding220.30M223.30M224.80M227.10M228.80M231.20M238.60M246.90M245.10M250.30M
Dividends Per Share$5.08$4.96$4.88$4.80$4.32$3.60$3.04$2.80$2.28$2.16