(TRMB)

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$0.54 (-0.72%)Past DayToday's Volume:
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About

Business overview of (TRMB)

Historical Stock Splits

If you bought 1 share of TRMB before March 5, 2004, you'd have 6 shares today.
Execution DateSplit Amount
March 21, 20132-for-1
February 23, 20072-for-1
March 5, 20043-for-2

Cash Flow Statement

December 31, 2022 to December 29, 2023
MetricValue
Net Cash Flow From Financing Activities$1.43 Billion
Net Cash Flow From Operating Activities, Continuing$597.10 Million
Net Cash Flow From Operating Activities$597.10 Million
Net Cash Flow, Continuing$-39.50 Million
Net Cash Flow From Investing Activities, Continuing$-2.07 Billion
Net Cash Flow From Financing Activities, Continuing$1.43 Billion
Net Cash Flow$-32.10 Million
Net Cash Flow From Investing Activities$-2.07 Billion
Exchange Gains/Losses$7.40 Million

Income Statement

December 31, 2022 to December 29, 2023
MetricValue
Benefits Costs and Expenses$3.44 Billion
Income/Loss Before Equity Method Investments$328.90 Million
Net Income/Loss Attributable To Parent$311.30 Million
Basic Average Shares$247.90 Million
Income/Loss From Equity Method Investments$28.10 Million
Diluted Average Shares$249.10 Million
Participating Securities, Distributed And Undistributed Earnings/Loss, Basic$0.00
Nonoperating Income/Loss$-91.80 Million
Income Tax Expense/Benefit, Deferred$-104.60 Million
Other Operating Expenses$1.22 Billion
Cost Of Revenue$1.47 Billion
Net Income/Loss Attributable To Noncontrolling Interest$0.00
Operating Expenses$1.88 Billion
Gross Profit$2.33 Billion
Diluted Earnings Per Share$1.25
Operating Income/Loss$448.80 Million
Costs And Expenses$3.44 Billion
Interest Income/Expense Operating, Net$-161.00 Million
Basic Earnings Per Share$1.26
Income/Loss From Continuing Operations Before Tax$357.00 Million
Provision For Loan, Lease, And Other Losses$0.00
Preferred Stock Dividends And Other Adjustments$0.00
Net Income/Loss$311.30 Million
Revenues$3.80 Billion
Income Tax Expense/Benefit$45.70 Million
Net Income/Loss Available To Common Stockholders, Basic$311.30 Million
Income/Loss From Continuing Operations After Tax$311.30 Million
Research and Development$664.30 Million
Interest Income/Expense After Provision For Losses$-161.00 Million

Balance Sheet

December 31, 2022 to December 29, 2023
MetricValue
Accounts Payable$165.30 Million
Wages$181.20 Million
Current Assets$1.83 Billion
Other Current Liabilities$1.48 Billion
Liabilities$5.04 Billion
Equity$4.50 Billion
Assets$9.54 Billion
Equity Attributable To Noncontrolling Interest$0.00
Equity Attributable To Parent$4.50 Billion
Noncurrent Liabilities$3.21 Billion
Noncurrent Assets$7.71 Billion
Prepaid Expenses$89.80 Million
Other Current Assets$1.51 Billion
Fixed Assets$202.50 Million
Liabilities And Equity$9.54 Billion
Current Liabilities$1.83 Billion
Other Non-current Assets$7.51 Billion
Inventory$235.70 Million

Historical Dividends

Announcement DatePayment DateRecord DateAmountFrequency
No historical dividends

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