$316.79
+ $2.50 (0.79%)
End-of-day quote: 05/02/2024
NYSE:TT

Trane Technologies Annual Report

Year Year 2023 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2022 2021 2020
Rev. Revenue
$17.68B $16.60B $15.67B $14.20B $13.51B $13.30B $12.89B $12.35B $11.99B $12.76B $14.00B $13.01B $13.05B $8.76B $8.03B $7.26B $9.39B $15.99B $14.14B $12.45B
GM % Gross Margin %
33.13% 31.45% 31.23% 31.22% 31.17% 30.34% 30.34% 29.50% 28.90% 27.33% 28.36% 27.89% 27.12% 28.71% 28.20% 28.37% 27.04% 31.05% 31.62% 30.73%
OM Operating Margin
15.98% 13.11% 12.69% 11.95% 11.91% 11.47% 10.99% 9.61% 9.14% 8.70% 9.33% 7.64% 9.65% 12.40% 12.43% 12.22% 11.93% 14.86% 14.28% 12.80%
EPS Earnings Per Share
$0.00 $9.04 $7.36 $6.09 $4.46 $6.37 $5.61 $4.51 $4.13 $3.73 $3.33 $2.67 $3.29 $2.82 $2.35 $1.65 $3.34 $3.58 $3.28 $3.09 $2.49
Div. Dividends
$3.00 $2.12 $1.96 $1.70 $1.36 $1.16 $1.00 $0.88 $0.69 $0.43 $0.28 $0.50 $0.72 $0.72 $0.68 $0.57 $0.44 $2.68 $2.36 $2.12
PR % Payout Ratio %
33.19% 33.28% 34.94% 37.69% 32.93% 31.10% 30.03% 32.96% 20.97% 15.25% 11.91% 30.30% 21.56% 20.11% 20.73% 18.45% 17.67% 36.41% 38.75% 47.53%
Sha. Shares
227.17m 238.31m 241.91m 249.48m 259.01m 261.25m 262.9m 282.7m 295.61m 297.1m 328.2m 320.6m 318.8m 272.6m 306.73m 330.71m 346.17m 228.83m 235.19m 238.81m
OCF Operating Cash Flow
$2.39B $1.92B $1.41B $1.52B $1.52B $888.40M $973.20M $1.09B $1.20B $1.19B $695.40M $1.73B $348.40M $901.50M $954.80M $840.70M $797.50M $1.50B $1.59B $1.44B
FCF Free Cash Flow
$2.09B $1.67B $1.04B $1.30B $1.32B $601.50M $739.70M $928.20M $918.30M $943.90M $516.00M $1.53B $42.40M $781.80M $742.50M $721.90M $671.90M $1.21B $1.37B $1.29B
FCFS Free Cash Flow Per Share
$9.14 $6.89 $4.22 $5.11 $5.17 $2.41 $2.73 $2.89 $3.13 $2.99 $1.59 $4.77 $0.14 $2.69 $2.53 $2.24 $1.94 $5.21 $5.72 $5.37