TT
NYSETrane Technologies plc
Industrials, Building Products
$482.31
close 7 Aug 2026
+12.67%
52-week change
$106.12B
market cap
$348.06
$505.87
52-week range
Valuation
Market cap$106.12B
P/E (TTM / 5y avg)36.54x30.61x
Forward P/E (FY2026 / FY2027)31.64x27.61x
PEG (TTM / fwd)1.812.17
P/S (TTM)4.78x
P/B12.31x
EV/EBITDA (TTM)25.36x
FCF yield (TTM)3.34%
Cash flow & dividend
FCF (TTM)$3.55B
FCF per share (TTM)$16.12
FCF margin (TTM)15.97%
Dividend yield (indicated / 5y avg)0.87%1.22%
Annualized dividend$4.20
Payout ratio (EPS / FCF)29.85%24.83%
Growth & quality
Revenue YoY, latest Q+10.56%
Diluted EPS YoY, latest Q+6.94%
Operating margin (TTM)17.94%
Net margin (TTM)13.28%
ROE (latest FY)34.02%
Net debt / EBITDA (TTM)1.06
Interest coverage (TTM)18.12
Price
+152.28%+20.41%/yrover 5y
Weekly closes · split-adjusted
close 7 Aug 2026
Fundamentals
Fiscal years, last 10, CAGR chips on growth series, plus a dimmed trailing-twelve-month bar
Revenue
5Y CAGR +11.35%10Y CAGR +4.83%
Diluted EPS
5Y CAGR +29.82%10Y CAGR +21.03%
FCF per share
5Y CAGR +18.70%10Y CAGR +21.06%
Operating cash flow
5Y CAGR +17.36%10Y CAGR +13.65%
Free cash flow
5Y CAGR +16.88%10Y CAGR +15.97%
Dividends per share
5Y CAGR +12.26%10Y CAGR +15.54%
Payout ratio
FCF payout ratio
Operating margin
FCF margin
Return on equity
Return on capital employed
Shares outstanding
5Y CAGR -1.53%10Y CAGR -4.20%
Net debt / EBITDA
Interest coverage
Earnings
Street estimates, not SEC filings
Next / Q3 FY26
Date26 Oct 2026bmo
EPS estimate$4.74
Revenue estimate$6.61B
Last reported
Date—
EPS——
Revenue——