GPC stock

Genuine Parts Co (GPC) financials · P/E 21, rev $12.80B

Genuine Parts Co (GPC) P/E 21, rev $12.80B.

Cached annual income statement
LineFY2025FY2024
Revenue$24.30B$23.49B
Cost of Revenue$15.36B$14.96B
Gross Profit$8.94B$8.52B
Operating Income$0$0
Net Income$65.9M$904.1M
EPS (Diluted)$0.47$6.47
Cached annual balance sheet
LineFY2025FY2024
Total Assets$20.80B$19.28B
Current Assets$10.56B$9.85B
Cash & Equivalents$0$0
Inventory$6.07B$5.51B
PP&E$2.17B$1.95B
Total Liabilities$20.80B$19.28B
Current Liabilities$9.79B$8.53B
Short-term Debt$943.5M$41.7M
Long-term Debt$3.50B$3.74B
Total Debt$0$0
Shareholders' Equity$4.42B$4.34B
Retained Earnings$4.57B$5.26B
Cached annual cash flow
LineFY2025FY2024
Operating Cash Flow$890.8M$1.25B
CapEx$469.8M$567.3M
Investing Cash Flow-$711.6M-$1.51B
Financing Cash Flow-$209.3M-$333.9M
Dividends Paid$563.8M$554.9M
Net Change in Cash-$2.8M-$622.0M
Free Cash Flow$1.36B$1.82B

FAQ

What is GPC P/E and revenue?

Genuine Parts Co (GPC) P/E 21, rev $12.80B.

What is GPC revenue?

Genuine Parts Co last cached revenue is $24.30B (FY2025).

Is GPC profitable?

Genuine Parts Co last cached net income is $65.9M.

What are GPC total assets?

Genuine Parts Co last cached total assets are $20.80B.

What is GPC free cash flow?

Genuine Parts Co last cached free cash flow is $1.36B.

Not investment advice. Cached statements, not a live tape.