Financials

Roper Technologies Inc. financials

ROP Industrial Conglomerates

Roper Technologies Inc. is a diversified industrial company founded in 1890 that provides engineered products and software solutions to sectors including healthcare, energy, and aerospace. It generates over $6 billion in annual revenues through a blend of organic innovation and strategic acquisitions. Led by CEO Neil Hunn since 2003, the company’s portfolio features advanced measurement systems and data analytics software that set it apart from competitors. With a strong market performance and a focus on digital transformation, Roper is well positioned for future growth.

Snapshot

Roper Technologies Inc. reported $7.90B in revenue in fiscal 2025, up 12.3% year over year, with an operating margin of 28.3%.

Revenue (FY2025)
$7.90B
YoY growth
+12.3%
Operating margin
28.3%
Direction
Expanding

Financial statements

In thousands, USD · annual
In thousands, USD
FY 2025FY 2024FY 2023FY 2022
Total Revenues7,902,5007,039,2006,177,8005,371,800
Cost of Sales2,430,5002,160,9001,870,6001,619,000
Gross Profit5,472,0004,878,3004,307,2003,752,800
Selling, General & Administrative Expenses3,236,6002,881,5002,562,0002,228,300
Operating Profit2,235,4001,996,8001,745,2001,524,500
Interest Expense(325,000)(259,200)(164,700)(192,400)
Non-Operating Income25,700229,600162,600(50,100)
Total Non-Operating Income(299,300)(29,600)(2,100)(242,500)
Income Before Provision for Income Taxes1,936,1001,967,2001,743,1001,282,000
Provision for Income Taxes399,800417,900374,700296,400
Consolidated Net Income1,536,3001,549,3001,368,400985,600
Net Income Attributable to Discontinued Operations15,8003,559,100
Net Income Attributable to Common Shareholders1,536,3001,549,3001,384,2004,544,700
Basic EPS14.3014.4712.9842.92
Diluted EPS14.2014.3512.8942.55
Basic Weighted Average Shares Outstanding107,400107,100106,600105,900
Diluted Weighted Average Shares Outstanding108,200108,000107,400106,800
Shares Outstanding106,600107,300106,900106,100
In thousands, USD
FY 2025FY 2024FY 2023FY 2022
Cash and Cash Equivalents297,400188,200214,300792,800
Total Cash and Cash Equivalents297,400188,200214,300792,800
Accounts Receivable1,125,0001,012,400936,300816,000
Total Trade Receivables1,125,0001,012,400936,300816,000
Inventories141,700120,800118,600111,300
Other Current Assets364,000221,300212,200212,300
Total Current Assets1,928,1001,542,7001,481,4001,932,400
Net Property, Plant & Equipment156,900149,700119,60085,300
Net Intangible Assets9,764,2009,059,6008,212,1008,030,700
Goodwill21,341,20019,312,90017,118,80015,946,100
Long-Term Investments796,300772,300795,700535,000
Other Long-Term Assets590,300497,500439,900451,300
Total Assets34,577,00031,334,70028,167,50026,980,800
Accounts Payable150,300148,100143,000122,600
Accrued Expenses935,300835,200696,500683,400
Current Portion of Long-Term Debt705,2001,043,100499,500699,200
Unearned Revenue1,906,8001,737,4001,583,8001,370,700
Other Current Liabilities28,00068,40040,40016,600
Total Current Liabilities3,725,6003,832,2002,963,2002,892,500
Long-Term Debt8,595,8006,579,9005,830,6005,962,500
Other Long-Term Liabilities2,374,1002,055,0001,928,9002,088,000
Total Long-Term Liabilities10,969,9008,634,9007,759,5008,050,500
Total Liabilities14,695,50012,467,10010,722,70010,943,000
Common Stock1,1001,1001,1001,100
Treasury Stock(516,100)(16,500)(16,800)(17,200)
Additional Paid-in Capital3,292,2003,014,6002,767,0002,510,200
Accumulated Other Comprehensive Income(101,400)(166,500)(122,800)(187,000)
Retained Earnings17,205,70016,034,90014,816,30013,730,700
Total Common Shareholders' Equity19,881,50018,867,60017,444,80016,037,800
Total Shareholders' Equity19,881,50018,867,60017,444,80016,037,800
Total Liabilities and Shareholders' Equity34,577,00031,334,70028,167,50026,980,800
In thousands, USD
FY 2025FY 2024FY 2023FY 2022
Net Income1,536,3001,549,3001,368,400985,600
Depreciation & Amortization910,000822,600765,100661,900
Share-Based Compensation Expense166,300145,900123,500118,500
Other Adjustments344,100183,300176,800296,400
Changes in Trade Receivables(80,500)(4,100)(57,700)(8,600)
Changes in Inventories(18,700)(1,900)(6,600)(43,100)
Changes in Accounts Payable(3,900)(13,000)18,20021,300
Changes in Accrued Expenses17,100109,300(1,000)(7,600)
Changes in Income Taxes Payable(384,000)(483,800)(423,400)
Changes in Unearned Revenue124,700110,70093,90052,900
Changes in Other Operating Activities(71,100)(25,100)(22,100)(1,342,700)
Cash from Operating Activities2,540,3002,393,2002,035,100734,600
Capital Expenditure(47,400)(66,000)(68,000)(40,100)
Purchases of Intangible Assets(57,300)(45,000)(40,000)(30,200)
Proceeds from Sale of Investments245,600
Payments for Business Acquisitions(3,290,000)(3,612,900)(2,052,700)(4,280,100)
Proceeds from Business Divestments2,0005,561,800
Other Investing Activities6,7009,80032,400(1,900)
Cash from Investing Activities(3,388,000)(3,468,500)(2,126,300)1,209,500
Issuance of Long-Term Debt2,000,0002,000,000
Repayments of Long-Term Debt(1,000,000)(500,000)(700,000)(800,000)
Net Issuance / (Repayments) of Long-Term Debt1,000,0001,500,000(700,000)(800,000)
Issuance of Common Shares111,200107,100130,70082,500
Repurchases of Common Shares(500,000)
Net Issuance / (Repurchases) of Common Shares(388,800)107,100130,70082,500
Common Share Dividends Paid(355,000)(321,900)(290,200)(262,300)
Other Financing Activities667,400(215,700)360,000(485,500)
Cash from Financing Activities923,6001,069,500(499,500)(1,465,300)
Effect of Exchange Rate Changes on Cash and Cash Equivalents33,300(20,300)12,200(37,500)
Increase / (Decrease) in Cash, Cash Equivalents and Restricted Cash109,200(26,100)(578,500)441,300

Quarterly trend

last 8 quarters
QuarterRevenueYoY growthOperating marginOperating income
Q1 2026$2.10B+11.3%27.2%$570M
Q4 2025$2.06B+9.7%28.6%$588M
Q3 2025$2.02B+14.3%28.4%$573M
Q2 2025$1.94B+13.2%28.2%$548M
Q1 2025$1.88B27.9%$526M
Q4 2024$1.88B28.0%$525M
Q3 2024$1.76B28.1%$497M
Q2 2024$1.72B28.8%$494M
Revenue by quarter$M
$1.72B
Q2 '24
$1.76B
Q3 '24
$1.88B
Q4 '24
$1.88B
Q1 '25
$1.94B
Q2 '25
$2.02B
Q3 '25
$2.06B
Q4 '25
$2.10B
Q1 '26
69.2%
Gross margin
28.3%
Operating margin
19.4%
Net margin
SourceCompany financial filings (income statement, balance sheet, cash flow) Last updated

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