Ingersoll Rand Inc (IR)

Industry Specialty Industrial Machinery

This stock can be held in an Investment ISA and an Investment Account
Sell

$83.04

Buy

$84.83

arrow-down$-0.46 (-0.55%)

Gardner Denver Holdings Inc provides flow control and compression equipment and associated aftermarket parts, consumables, and services. It manufactures compressor, pump, vacuum and blower products.
Prices updated at 19 May 2025, 23:14 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
2,375m2,690m2,018m3,973m5,152m5,916m6,876m7,235m
898m1,013m778m1,405m1,989m2,326m2,882m3,170m
130m453m260m274m622m879m1,242m1,454m
5.4516.8412.906.9112.0814.8618.0620.10
18m269m159m-33m563m605m779m839m
202m630m345m478m1,023m1,278m1,647m1,828m
Sales, General and administrative640m435m410m789m1,028m1,096m1,273m1,344m
Interest expenses141m100m88m111m88m103m157m213m
Provision for income taxes-131m80m13m11m-22m150m240m263m
Operating expenses768m560m518m1,131m1,366m1,446m1,641m1,716m
Income before taxes-113m350m110m-45m513m742m1,031m1,133m
Net income available to common shareholders18m269m159m-33m563m605m779m839m
0.11.340.78-0.091.361.491.922.08
Net interest income-141m-100m-88m-111m-88m-103m-157m-213m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)0.11.290.76-0.091.341.471.92.06
Free cash flow per share0.39911.69481.61561.68991.7311.59752.54533.2081
Book value/share6.48168.1928.731320.953521.22121.600923.686825.4855
Debt equity ratio1.3673480.9929590.8576930.4231610.3779150.2953630.2752510.467079

Balance sheet

20172018201920202021202220232024
Current assets1,464m1,331m1,544m3,862m4,115m3,967m4,050m4,164m
Current liabilities562m596m575m1,499m1,468m1,674m1,827m1,819m
Total capital3,496m3,340m3,474m12,979m12,403m11,912m12,477m14,933m
Total debt2,040m1,672m1,629m3,957m3,476m2,792m2,765m4,814m
Total equity1,477m1,676m1,870m9,120m9,002m9,196m9,784m10,179m
Total non current liabilities--------
Loans2,019m1,664m1,604m3,859m3,402m2,716m2,693m4,754m
Total assets4,621m4,487m4,628m16,059m15,155m14,766m15,564m18,010m
Total liabilities--------
Cash and cash equivalents393m221m506m1,751m2,110m1,613m1,596m1,541m
Common stock196m198m205m419m408m405m403m403m

Cash flow

20172018201920202021202220232024
Cash at beginning of period256m393m221m506m1,751m2,110m1,613m1,596m
Cash dividends paid-----8m-32m-32m-32m
144m392m300m866m551m766m1,272m1,248m
Investments (gains) losses-61m-235m-54m-38m914m-333m-1,060m-3,108m
393m221m506m1,751m2,110m1,613m1,596m1,541m
Net income--------
201m445m343m914m616m860m1,377m1,397m
-57m-52m-43m-49m-64m-95m-105m-149m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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