74.32
12.34 (00.17%)
As of Mar 06, 2024
FASTENAL CO [FAST]
As of Jul 17, 2024 | Source: Quarterly Report to the SEC
Company Overview
Fastenal Co is a North American leader in the wholesale distribution of industrial and construction supplies. They distribute these supplies through a network of more than 3,400 in-market locations.
Country | United States |
Headquarters | Winona, Minnesota |
Phone Number | 5074545374 |
Industry | Building Materials, Hardware, Garden Supply, And Mobile Home Dealers |
Employees | 23,201 |
CEO | Daniel L. Florness |
Website | www.fastenal.com |
Key fundamental financials profit of $295.50 million Revenue of $1,845.90 million Current Reporting Revenue Net Income Profit/Loss Sep 2023 $1,845.90 million $295.50 million profit Jun 2023 $1,883.10 ...
Key fundamental financials profit of $298 million Revenue of $1,883.10 million Current Reporting Revenue Net Income Profit/Loss Jun 2023 $1,883.10 million $298 million profit Mar 2023 $1,859.10 millio...
Key fundamental financials profit of $298 million Revenue of $1,883.10 million Current Reporting Revenue Net Income Profit/Loss Jun 2023 $1,883.10 million $298 million profit Mar 2023 $1,859.10 millio...
Key fundamental financials profit of $298 million Revenue of $1,883.10 million Current Reporting Revenue Net Income Profit/Loss Jun 2023 $1,883.10 million $298 million profit Mar 2023 $1,859.10 millio...
Key fundamental financials profit of $298 million Revenue of $1,883.10 million Current Reporting Revenue Net Income Profit/Loss Jun 2023 $1,883.10 million $298 million profit Mar 2023 $1,859.10 millio...
Financial Overview
Revenue | 1,916 M |
Operating Revenue | 387 M |
Profits | 293 M |
Net Cash | 018 M |
Management Effectiveness
Return on Equity | 8.37% |
Return on Assets | 6.36% |
Turnover Ratio | 0.42 M |
EBIT | 387 M |
Profit Ratios
Gross Margin | 864 M |
Operating Margin | 20.19% |
Profit as % of Revenues | 295.01% |
Profit as % of Assets | 6.46% |
Profit as % of Stockholder Equity | 8.37% |
Balance Sheet and Cash Flow Measures
Total Assets | 4,604 M |
Total Liabilities | 1,108 M |
Operating Cash Flow | 258 M |
Investing Cash Flow | -053 M |
Financing Cash Flow | -186 M |