ParkerHannifin
0KFZ.L
$783.89 0.50%
Exchange: LSE | Sector: Industrials | Industry: Industrial Capital Goods
Q4 2024
Published: Aug 22, 2024

Earnings Highlights

  • Revenue of $5.19B up 1.8% year-over-year
  • EPS of $6.01 increased by 10.5% from previous year
  • Gross margin of 36.2%
  • Net income of 784.96M
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ParkerHannifin Corporation (0KFZ.L) QQ4 2024 Results: Resilient Demand Fuels Modest Revenue Growth and Strong Free Cash Flow

Executive Summary

Parker-Hannifin delivered a solid Q4 2024 performance characterized by modest revenue growth, stable but constructive margins, and robust free cash flow generation. Revenue of $5.187 billion marked a YoY increase of 1.8% and a QoQ rise of 2.2%, supported by continued demand in diversified industrial and aerospace systems end markets. Gross margin held at approximately 36.15%, with operating margin around 20.66% and net margin near 15.13%, underscoring ongoing operating leverage and disciplined cost management. Cash flow and balance sheet dynamics remain a focal point. Operating cash flow of $1.238 billion and free cash flow of $1.120 billion illustrate strong cash-generation capabilities, enabling meaningful debt reduction and dividend payout while maintaining liquidity. However, Parker-Hannifin remains meaningfully levered, with total debt of about $10.56 billion and net debt of roughly $10.14 billion, resulting in a debt-to-capitalization of 0.468 and a net debt to EBITDA around 2.0x. Interest coverage sits near 9x, supported by a diverse product mix and resilient end-market demand. Looking ahead, absent an explicit quarterly forward guidance in the provided data, the companyÒ€ℒs leverage-driven balance sheet will require ongoing free cash flow generation to fund potential deleveraging and strategic investments. The near-term trajectory will hinge on aerospace and industrial cycles, supply-chain normalization, and customer capex cycles, as Parker-Hannifin navigates a broad-based industrials backdrop with favorable long-term secular trends in motion and control technologies.

Key Performance Indicators

Revenue

5.19B
QoQ: 2.22% | YoY:1.78%

Gross Profit

1.88B
36.15% margin
QoQ: 4.30% | YoY:2.00%

Operating Income

1.07B
QoQ: 6.55% | YoY:1.04%

Net Income

784.96M
QoQ: 8.04% | YoY:10.72%

EPS

6.10
QoQ: 7.96% | YoY:10.51%

Revenue Trend

Margin Analysis

Key Insights

Revenue: USD 5.186815 million; YoY +1.78%, QoQ +2.22% Gross Profit: USD 1.87508 million; YoY +2.00%, QoQ +4.30% Operating Income: USD 1.071409 million; YoY +1.04%, QoQ +6.55% Net Income: USD 0.784963 million; YoY +10.72%, QoQ +8.04% EPS (GAAP): USD 6.10; EPS Diluted: USD 6.01; YoY EPS +10.51%, QoQ +7.96% EBITDA Margin (EBITDA / Revenue): 25.76% Net Margin: 15.13% Operating Margin: 20.66% Payout Ratio: 26.8% Free Cash Flow (FCF): USD 1.120469 million; FCF Margin ~21.6% Operating Cash Flow: USD 1....

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q3 2025 4,960.35 7.37 -2.3% View
Q2 2025 4,742.59 7.25 -1.6% View
Q1 2025 4,903.98 5.34 +1.2% View
Q4 2024 5,186.82 6.01 +1.8% View
Q3 2024 5,074.36 5.56 +0.3% View