Financial Information

Latest Financial Results

27%

Revenue Up 27% to $5.6 Billion

21%

Operating Income Up 21% to $386 Million

23%

AOI Up 23% to $590 Million

$491M

Operating Cash Flow of $491 Million

$407M

Free Cash Flow - Adjusted of $407 Million, Converting 69% of AOI

*Compared to Second Quarter 2022

For complete information regarding our financials, see our periodic filings

View the Latest Financials

Balance Sheet

Includes Current Assets, Liabilities and Stockholder's Equity

Income Statement

Includes Total Net Sales, Cost & Expenses and Earnings per share

Cash flow

Includes Net Income, Adjustments, and Cash flows from investing & financing activities