Skip to content

Brady Corp

US · BRC #2284 by market cap Listed 1970
84.85 -0.26 -0.31%
Live - 5344 symbols - heartbeat 259s ago · 2026-10-08 05:31
Pre-market 84.03 -0.97%
After-hours 84.85 0.00%
Market cap
3.98B
P/B
2.93
EPS
4.30
Reader sentiment Are you bullish or bearish on BRC?

Anonymous reader poll. Unscientific, not investment advice.

✦ Quant Financial Health how this is computed

Good
  • Altman Z-Score is 7.53, above the 3.0 "safe zone" threshold.
  • Most reliable for industrial/manufacturing companies; less meaningful for banks, insurers and other financials.

Revenue annual, last 8 years

Latest year +9.78% YoY

Margins

Gross margin
51.75%
Operating margin
15.86%
Net margin
12.32%

Key ratios & quality

PEG uses trailing P/E against the 3-year net income growth rate (5.51%/yr) since forward earnings estimates aren't available here, so this is not a "forward PEG." Altman Z-Score below ~1.8 suggests financial distress risk, above ~3.0 suggests low risk; the model is most reliable for industrial/manufacturing companies and less meaningful for banks and other financial firms.

Income statement

Line item 2019 2020 2021 2022 2023 2024 2025 2026
Revenue 1.16B1.08B1.14B1.30B1.33B1.34B1.51B1.66B
Gross profit 578.68M528.57M561.45M631.55M657.28M687.88M760.82M859.83M
Selling & admin expenses 371.08M336.06M349.77M379.99M370.70M376.72M444.30M502.31M
Research & development 45.17M40.66M44.55M58.55M61.37M67.75M79.89M94.03M
Operating profit 162.43M151.84M167.13M193.01M225.21M243.41M236.64M263.49M
Pretax profit 164.64M140.94M171.02M191.98M225.70M247.84M237.10M259.42M
Tax 33.39M28.32M35.61M42.00M50.84M50.63M47.84M54.04M
Net profit 131.26M112.37M129.66M149.98M174.86M197.22M189.26M205.38M
Basic EPS 32234444
Diluted EPS 2.462.112.472.903.514.073.944.30

Balance sheet

Line item 2019 2020 2021 2022 2023 2024 2025 2026
Total current assets 573.28M509.45M465.10M498.07M524.82M599.72M621.84M688.53M
Cash & ST investments 279.07M217.64M147.34M114.07M151.53M250.12M174.35M187.15M
Inventory 120.04M135.66M136.11M190.02M177.08M152.73M200.88M225.21M
Total assets 1.16B1.14B1.38B1.37B1.39B1.52B1.73B1.85B
Total current liabilities 241.95M185.89M257.58M255.17M258.04M264.68M330.33M355.50M
Short-term debt 50.17M15.30M17.67M15.00M14.73M13.38M15.23M17.02M
Long-term debt ----38.00M95.00M49.72M90.94M99.77M14.99M
Total liabilities 306,534,000.00279,394,000.00414,728,000.00456,034,000.00398,338,000.00448,911,000.00542,042,000.00494,387,000.00
Total equity 850.77M863.07M963.03M911.30M990.92M1.07B1.19B1.36B
Retained earnings 637.84M704.46M788.37M892.42M1.02B1.17B1.32B1.48B

Cash flow

Line item 2019 2020 2021 2022 2023 2024 2025 2026
Operating cash flow 162.21M140.98M205.67M118.45M209.15M255.07M181.20M244.13M
Depreciation & amortization 23.80M23.44M25.48M34.18M32.37M29.87M40.64M44.87M
Free cash flow 129.39M113.70M178.48M75.31M189.92M175.18M153.62M192.65M
Dividends paid -44.73M-45.76M-45.75M-45.93M-45.40M-45.06M-45.54M-46.14M
Stock buybacks / issuance -3.18M-64.51M-3.59M-109.23M-75.00M-72.23M-50.84M-42.20M
Ending cash balance 279.07M217.64M147.34M114.07M151.53M250.12M174.35M187.15M

Returns & efficiency

Line item 2019 2020 2021 2022 2023 2024 2025 2026
ROE % 16.2713.0214.1115.9218.3019.1016.6916.05
ROA % 11.789.7010.2310.8712.6313.5311.6011.41
ROIC % 15.5812.2913.2014.3916.7417.5415.1015.21
5-year avg ROE % 11.4013.9714.0814.3515.5216.0916.8217.21
EBIT margin % 14.4313.2314.9814.8417.2118.7115.9816.20
FCF / sales % 11.1510.5215.595.7814.2613.0610.1511.59
Current ratio 2.372.741.811.952.032.271.881.94
Quick ratio 1.811.961.231.171.301.651.231.26
Debt / assets 4.334.146.109.455.818.569.144.51
LT debt / equity --3.716.8912.536.6510.9012.024.90
Interest coverage 59.1866.07392.36151.4564.7780.2850.9527.75
Revenue CAGR (3Y) % 1.18-0.97-0.833.917.195.435.157.65
Net income CAGR (3Y) % 17.895.5212.504.5415.8815.008.065.51
FCF CAGR (3Y) % 2.02-4.0913.75-16.5118.65-0.6226.820.48

Revenue breakdown most recent period

Business

Single segment100.00%

Region

United States57.28%
Other48.09%

Quote time 2026-10-08 05:31:22 · For reference only, not investment advice and not tailored to your situation.