Regal Rexnord Corp (RRX)

Industry Specialty Industrial Machinery

This stock can be held in an Investment Account
Sell

$92.90

Buy

$142.76

arrow-down$-2.02 (-1.40%)

Regal Beloit Corp is a manufacturer of electric motors , electrical motion controls,power generation and power transmission products.
Prices updated at 14 May 2025, 21:20 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
3,360m3,646m3,238m2,907m3,810m5,218m6,251m6,034m
884m965m861m807m1,112m1,670m2,067m2,191m
331m365m316m294m397m691m530m643m
9.8510.029.7710.1010.4213.258.4810.65
213m231m239m188m230m489m-57m196m
471m490m491m420m542m1,008m922m1,160m
Sales, General and administrative--------
Interest expenses56m55m53m40m60m87m431m400m
Provision for income taxes59m56m61m56m75m119m53m50m
Operating expenses553m599m544m513m715m978m1,537m1,549m
Income before taxes277m292m304m249m311m614m-2m248m
Net income available to common shareholders213m231m239m188m230m489m-57m196m
4.785.35.694.664.447.33-0.872.96
Net interest income-53m-53m-47m-34m-53m-82m-387m-381m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)4.745.265.664.644.47.29-0.872.94
Free cash flow per share6.13565.24146.73069.86888.00243.94958.94697.3026
Book value/share51.221254.497756.404459.659639.770292.747793.049897.6335
Debt equity ratio0.4471730.5655050.5052530.3519490.3144580.3252561.0259920.889294

Balance sheet

20172018201920202021202220232024
Current assets1,574m1,818m1,608m1,851m2,723m3,001m3,384m2,751m
Current liabilities712m684m561m822m1,095m1,002m1,326m1,216m
Total capital3,365m3,617m3,488m3,385m8,226m8,378m12,721m11,713m
Total debt1,141m1,307m1,210m1,148m2,035m2,138m6,550m5,607m
Total equity2,326m2,311m2,351m2,544m6,312m6,388m6,344m6,260m
Total non current liabilities--------
Loans1,040m1,307m1,137m840m1,914m1,990m6,377m5,453m
Total assets4,388m4,624m4,431m4,589m10,282m10,269m15,431m14,034m
Total liabilities--------
Cash and cash equivalents140m249m331m611m673m689m574m394m
Common stock44m43m41m41m68m66m66m66m

Cash flow

20172018201920202021202220232024
Cash at beginning of period285m140m249m331m611m673m689m635m
Cash dividends paid-44m-47m-49m-49m-336m-91m-93m-93m
227m285m316m388m303m352m596m500m
Investments (gains) losses-58m-228m74m-37m-176m-113m-4,983m275m
140m249m331m611m673m689m635m394m
Net income--------
292m363m409m435m358m436m715m609m
-65m-78m-92m-47m-54m-84m-119m-109m
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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