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Applied Industrial Technologies (AIT)

Applied Industrial Technologies (AIT)
225.67 -6.55 (-2.82%) 15:59 ET [NYSE]
216.36 x 1 253.99 x 100
Realtime by (Cboe BZX)
216.36 x 1 253.99 x 100
Realtime - - (-) -
Financial Summary for Fri, Mar 28th, 2025
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Applied Industrial Technologies, Inc. is a distributor of value-added industrial products including engineered fluid power components, bearings, specialty flow control solutions, power transmission products and miscellaneous industrial supplies. These products are mainly sold to original equipment manufacturers and maintenance, repair, and operations customers in Australia, N. America, Singapore and New Zealand. It reports revenues under 2 business segments. Service Center-Based Distribution segment offers different types of industrial products majorly through service centers in New Zealand, Australia and N. America and also provides services in the oil and gas industry as well as includes operations of fabricated rubber shops and rubber service field crews. Fluid Power & Flow Control segment includes specialized regional companies that offer fluid power components, assembling and designing of fluid power systems, and provides equipment repairing services.

Fiscal Year End Date: 06/30

(Values in U.S. Thousands) Dec, 2024 Sep, 2024 Jun, 2024 Mar, 2024 Dec, 2023
Sales 1,073,000 1,098,940 1,160,680 1,146,390 1,077,150
Sales Growth -2.36% -5.32% +1.25% +6.43% -1.65%
Net Income 93,290 92,060 103,490 97,220 91,230
Net Income Growth +1.34% -11.04% +6.45% +6.57% -2.77%
(Values in U.S. Thousands) Dec, 2024 Sep, 2024 Jun, 2024 Mar, 2024 Dec, 2023
Total Assets 3,044,640 3,003,210 2,951,910 2,854,940 2,782,770
Total Assets Growth +1.38% +1.74% +3.40% +2.59% +1.17%
Total Liabilities 1,251,130 1,251,130 1,263,130 1,185,920 1,174,740
Total Liabilities Growth unch -0.95% +6.51% +0.95% -3.27%
(Values in U.S. Thousands) Dec, 2024 Sep, 2024 Jun, 2024 Mar, 2024 Dec, 2023
Operating Cash Flow 222,880 127,750 371,390 252,160 167,970
Operating Cash Flow Growth +74.47% -65.60% +47.28% +50.12% +153.69%
Net Cash Flow -157,180 77,900 116,580 112,500 68,820
Change in Net Cash Flow -301.77% -33.18% +3.63% +63.47% +320.15%
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