EQUITY RESEARCH
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Financial Model
Income Statement
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FINANCIAL MODEL
Dover Corporation
DOV · all figures in $M unless noted
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figures open the exact filing page they were verified against ·
green
figures are computed — click for the formula
FY2015
FY2016
FY2017
FY2018
FY2019
FY2020
FY2021
FY2022
FY2023
FY2024
FY2025
Income Statement
Revenue
6,043
6,821
6,992
7,136
6,684
7,907
8,508
8,438
7,746
8,093
Cost of Goods Sold
3,816
4,292
4,433
4,515
4,210
4,937
5,445
5,354
4,787
4,874
Gross Profit
SG&A
1,519
1,722
1,716
1,599
1,541
1,688
1,684
1,718
1,752
1,845
R&D
EBITDA
D&A
250
283
283
272
279
290
308
317
338
380
EBIT (Operating Income)
709
807
843
975
933
1,282
1,379
1,366
1,206
1,373
Interest Expense
136
145
131
126
112
106
116
131
131
110
Pre-Tax Income
685
876
725
843
842
1,401
1,288
1,270
1,757
1,374
Tax Expense
183
129
134
165
158
277
222
213
357
277
Net Income
502
747
591
678
683
1,124
1,065
1,057
1,400
1,097
Diluted EPS
3.21
4.73
3.89
4.61
4.70
7.74
7.42
7.52
10.09
7.97
Diluted Shares (M)
156.6
157.7
152.1
147.0
145.4
145.3
143.6
140.6
138.7
137.8
Balance Sheet
Total Cash & Equivalents
349
754
396
397
513
386
381
399
1,845
1,677
Short-term Debt
581
220
85
0
106
736
468
400
707
Long-term Debt
2,987
2,944
2,986
3,109
3,019
2,943
2,992
2,529
2,621
Total Debt
Net Debt
Total Current Assets
2,790
2,504
2,548
2,619
3,062
3,423
3,390
4,484
4,507
Total Current Liabilities
2,142
1,827
1,750
1,739
2,250
2,773
2,414
2,197
2,518
Total Assets
10,130
10,658
8,366
8,669
9,152
10,404
10,897
11,349
12,509
13,422
Total Liabilities
6,331
6,275
5,597
5,637
5,766
6,214
6,610
6,242
5,555
6,017
Shareholders' Equity
3,800
4,383
2,769
3,033
3,386
4,190
4,286
5,107
6,954
7,405
Minority Interest
Intangibles & Goodwill
3,686
3,677
3,783
4,073
4,559
4,669
4,882
4,906
5,430
PP&E
788
806
842
897
957
1,005
1,032
988
1,120
Receivables
1,184
1,232
1,217
1,137
1,348
1,517
1,432
1,354
1,371
Payables
882
970
983
854
1,074
1,068
959
848
876
Inventory
677
749
806
836
1,191
1,367
1,225
1,145
1,273
Retained Earnings
7,928
8,456
7,815
8,211
8,608
9,445
10,223
10,996
13,410
14,221
Cash Flow
Cash from Operations
735
739
789
945
1,105
1,116
806
1,336
1,088
1,338
Capital Expenditures
140
170
171
187
166
171
221
193
168
220
Free Cash Flow
Stock-Based Compensation
19
24
24
30
25
31
31
31
40
44
Dividends Paid
268
284
284
282
284
287
288
284
283
283
Share Repurchases
105
895
143
106
22
585
500
541