RBC Bearings Inc (RBC)

Industry Tools & Accessories

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

$151.98

Buy

$604.94

arrow-up$0.59 (+0.16%)

RBC Bearings Inc is a manufacturer and marketer of engineered precision plain, roller and ball bearings. It operates in four business segments namely roller bearings, plain bearings, ball bearings, and engineered products.
Prices updated at 06 Jun 2025, 09:09 BST
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Prices in USD

Income statement

20182019202020212022202320242025
675m703m727m609m943m1,469m1,560m1,636m
259m277m289m234m357m605m671m726m
137m149m149m121m154m305m346m374m
20.2521.2520.5219.8016.3620.7722.2022.84
87m105m120m90m55m167m210m246m
156m161m180m147m186m402m460m492m
Sales, General and administrative113m118m130m103m168m230m254m279m
Interest expenses8m5m1m900,00042m77m79m60m
Provision for income taxes33m21m26m23m24m43m52m66m
Operating expenses122m127m140m114m203m300m324m352m
Income before taxes120m126m147m113m79m210m262m312m
Net income available to common shareholders87m105m120m90m43m144m187m234m
4.145.043.982.014.826.047.367.76
Net interest income-8m-5m-2m-1m-41m-77m-79m-60m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)4.084.983.941.994.775.987.37.7
Free cash flow per share3.71142.87935.70336.26484.47097.34418.74548.6877
Book value/share37.260441.626846.641680.950284.086390.301491.694893.3802
Debt equity ratio0.184670.044580.0357590.0352870.7466810.5820020.4615360.333872

Balance sheet

20182019202020212022202320242025
Current assets484m503m612m728m962m913m966m1,027m
Current liabilities105m90m104m88m313m309m294m315m
Total capital989m1,012m1,135m1,243m4,059m3,929m3,940m3,950m
Total debt173m44m52m52m1,785m1,490m1,287m1,029m
Total equity835m969m1,118m1,230m2,372m2,536m2,752m3,031m
Total non current liabilities--------
Loans154m43m17m13m1,687m1,394m1,188m918m
Total assets1,143m1,147m1,322m1,434m4,845m4,690m4,679m4,685m
Total liabilities--------
Cash and cash equivalents54m30m103m151m183m65m64m37m
Common stock24m25m25m25m29m29m29m31m

Cash flow

20182019202020212022202320242025
Cash at beginning of period39m54m30m103m151m183m65m64m
Cash dividends paid-----7m-23m-23m-17m
102m67m118m141m151m179m242m244m
Investments (gains) losses-28m-17m-63m-102m-2,847m-14m-52m-50m
54m30m103m151m183m65m64m37m
Net income--------
130m109m156m152m180m221m275m294m
-28m-41m-37m-12m-30m-42m-33m-50m
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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