A. O. Smith Corporation
A. O. Smith Corporation manufactures and markets residential and commercial gas and electric water heaters, boilers, tanks, and water treatment products in North America, China, Europe, and India. It operates through two segments, North America and Rest of World. The company offers water heaters for residences, restaurants, hotels and motels, office buildings, laundries, car washes, and small businesses; residential and commercial boilers for space heating applications in hospitals, schools, hotels, and other commercial buildings; and water treatment products, including on-the-go filtration bottles, point-of-use carbon and reverse osmosis products, point-of-entry water softeners, and whole-home water filtration products for residences, restaurants, hotels, and offices. It also provides food and beverage filtration products; expansion tanks, commercial solar water heating systems, swimming pool and spa heaters, and related products and parts; and heat pumps, combi-boilers, solar tank units, and air purification products. The company offers its products primarily under the A. O. Smith, State, Lochinvar, and water softener brands. It distributes its products through independent wholesale plumbing distributors, as well as through retail channels consisting of hardware and home center chains, and manufacturer representative firms; and offers Aquasana branded products directly to consumers through e-commerce, as well as other online retailers. The company was founded in 1874 and is headquartered in Milwaukee, Wisconsin. Show More...
-
Website http://www.aosmith.com
-
Sector Industrials
-
Industry Specialty Industrial Machinery
-
Dividend Yield 1.44 %
-
Last Quote 68.23 USD
-
Last Updated 16-04-2021
-
External Links Yahoo Finance Morningstar Ratios
-
Interest Coverage
The interest coverage ratio is a debt ratio and profitability ratio used to determine how easily a company can pay interest on its outstanding debt.
Reference: Investopedia -
2010-12 2011-12 2012-12 2013-12 2014-12 2015-12 2016-12 2017-12 2018-12 2019-12 TTM Earnings Per Share USD 0.6 1.64 0.85 0.92 1.14 1.58 1.85 1.7 2.58 2.22 2.01 Dividends USD 0.14 0.15 0.18 0.23 0.3 0.38 0.48 0.56 0.76 0.9 0.92 Payout Ratio % * 43.5 26.9 20.6 24.0 26.5 25.3 24.8 26.4 34.5 36.7 45.8 Shares Mil 185.0 186.0 186.0 186.0 182.0 179.0 177.0 175.0 172.0 167.0 165.0 Book Value Per Share * USD 4.14 5.3 6.46 6.86 7.69 8.09 8.79 9.7 10.23 10.2 10.03 Free Cash Flow Per Share * USD 0.39 -0.36 0.4 0.9 0.86 1.44 1.65 1.4 2.19 2.15 Return on Assets % 5.57 13.71 6.88 7.29 8.47 10.96 11.79 9.74 14.17 12.07 10.85 Financial Leverage (Average) 2.4 2.16 1.9 1.8 1.82 1.83 1.91 1.94 1.79 1.83 1.85 Return on Equity % 13.52 31.08 13.92 13.45 15.34 20.04 22.08 18.74 26.39 21.87 19.75 Return on Invested Capital % 10.8 23.21 11.06 11.75 13.56 17.48 18.79 15.52 22.6 19.25 16.76 Interest Coverage 11.78 18.37 26.41 42.47 51.3 55.39 64.36 52.56 67.4 43.92 39.23 Current Ratio 1.67 2.32 2.22 2.04 2.18 2.23 2.04 2.24 2.09 1.96 2.06 Quick Ratio 0.81 1.91 1.78 1.6 1.68 1.76 1.66 1.8 1.65 1.49 1.54 Debt/Equity 0.28 0.4 0.19 0.13 0.15 0.16 0.21 0.24 0.13 0.19 0.23 -
Dividend Distributions
Ex-Dividend Amount 29-10-2020 0.260 30-07-2020 0.240 29-04-2020 0.240 30-01-2020 0.240 30-10-2019 0.240 30-07-2019 0.220 29-04-2019 0.220 30-01-2019 0.220 30-10-2018 0.220 30-07-2018 0.180 27-04-2018 0.180 30-01-2018 0.180 30-10-2017 0.140 27-07-2017 0.140 26-04-2017 0.140 27-01-2017 0.140 27-10-2016 0.120 27-07-2016 0.120 27-04-2016 0.120 03-02-2016 0.120 28-10-2015 0.095 29-07-2015 0.095 28-04-2015 0.095 04-02-2015 0.095 29-10-2014 0.075 29-07-2014 0.075 28-04-2014 0.075 05-02-2014 0.075 29-10-2013 0.060 29-07-2013 0.060 25-04-2013 0.060 29-01-2013 0.050 31-10-2012 0.050 29-10-2012 0.050 27-07-2012 0.050 26-04-2012 0.040 27-01-2012 0.040 27-10-2011 0.040 27-07-2011 0.040 27-04-2011 0.035 27-01-2011 0.035 27-10-2010 0.035 28-07-2010 0.035 28-04-2010 0.033 27-01-2010 0.033 28-10-2009 0.033 29-07-2009 0.033 28-04-2009 0.032 28-01-2009 0.032 29-10-2008 0.032 29-07-2008 0.032 28-04-2008 0.030 29-01-2008 0.030 29-10-2007 0.030 27-07-2007 0.030 26-04-2007 0.028 29-01-2007 0.028 27-10-2006 0.028 27-07-2006 0.028 26-04-2006 0.027 27-01-2006 0.027 27-10-2005 0.027 27-07-2005 0.027 27-04-2005 0.027 27-01-2005 0.027 27-10-2004 0.027 28-07-2004 0.027 28-04-2004 0.025 28-01-2004 0.025 29-10-2003 0.025 29-07-2003 0.025 28-04-2003 0.023 29-01-2003 0.023 29-10-2002 0.023 29-07-2002 0.023 26-04-2002 0.022 29-01-2002 0.022 29-10-2001 0.022 27-07-2001 0.022 26-04-2001 0.022 29-01-2001 0.022 27-10-2000 0.022 27-07-2000 0.022 26-04-2000 0.020 27-01-2000 0.020 27-10-1999 0.020 28-07-1999 0.020 28-04-1999 0.020 27-01-1999 0.020 28-10-1998 0.020 29-07-1998 0.020 28-04-1998 0.019 28-01-1998 0.019 29-10-1997 0.019 29-07-1997 0.019 28-04-1997 0.019 29-01-1997 0.019 29-10-1996 0.019 29-07-1996 0.019 26-04-1996 0.019 29-01-1996 0.017 27-10-1995 0.017 27-07-1995 0.017 24-04-1995 0.017 25-01-1995 0.014 25-10-1994 0.014 25-07-1994 0.014 25-04-1994 0.014 25-01-1994 0.012 25-10-1993 0.012 26-07-1993 0.012 26-04-1993 0.011 02-03-1993 0.028 25-01-1993 0.011 26-10-1992 0.011 27-07-1992 0.011 24-04-1992 0.011 27-01-1992 0.011 25-10-1991 0.011 25-07-1991 0.011 24-04-1991 0.011 25-01-1991 0.011 25-10-1990 0.011 25-07-1990 0.011 24-04-1990 0.011 25-01-1990 0.200 25-10-1989 0.200 25-07-1989 0.200 24-04-1989 0.200 25-01-1989 0.200 25-10-1988 0.200 25-07-1988 0.200 25-04-1988 0.200 25-01-1988 0.200 26-10-1987 0.200 27-07-1987 0.200 24-04-1987 0.200 26-01-1987 0.200 27-10-1986 0.200 25-07-1986 0.200 24-04-1986 0.200 27-01-1986 0.200 25-10-1985 0.200 25-07-1985 0.150 24-04-1985 0.150 25-01-1985 0.120