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Trane Technologies plc (TT) Financial History

20 years of revenue, earnings, cash-flow and balance-sheet history from public filings.

INDUSTRIALS · Building Products · DATA UPDATED 2026-07-13

Trane Technologies plc (TT) operates in the Building Products industry and is headquartered in Swords, Ireland with about 44,000 employees. Its market capitalization is roughly $106 billion. In the fiscal year ended 2025-12-31, TT reported $21.3B in revenue and $2.9B in net income.

Trane Technologies plc designs, manufactures, sells, and services of solutions for heating, ventilation, air conditioning, and custom and transport refrigeration.

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TT Revenue & Earnings History — Annual Income Statement

Income statementTTM → 2026-03-312025-12-312024-12-312023-12-312022-12-312021-12-312020-12-312019-12-312018-12-312017-12-312016-12-312015-12-312014-12-312013-12-312012-12-312011-12-312010-12-312009-12-312008-12-312007-12-312006-12-31
Total Revenue$21.6B$21.3B$19.8B$17.7B$16.0B$14.1B$12.5B$13.1B$12.3B$14.2B$13.5B$13.3B$12.9B$12.3B$12.0B$14.8B$14.1B$13.2B$13.2B$8.8B$11.4B
Gross Profit$7.8B$7.7B$7.1B$5.9B$5.0B$4.5B$3.8B$4.0B$3.8B$4.4B$4.2B$4.0B$3.9B$3.6B$3.5B$4.3B$3.9B$3.5B$3.7B$2.5B$3.0B
Gross Margin %35.9%36.2%35.7%33.1%31.1%31.6%30.5%30.8%30.5%30.9%31.1%30.1%30.3%29.4%28.8%29.0%28.0%26.9%27.7%28.4%26.2%
Operating Income (EBIT)$3.9B$4.0B$3.5B$2.9B$2.4B$2.0B$1.5B$1.7B$1.5B$1.7B$1.6B$1.5B$1.4B$1.1B$1.1B$1.5B$1.3B$842M$1.2B$1.1B$1.4B
Operating Margin %18.2%18.6%17.6%16.4%15.1%14.3%12.3%12.8%12.2%11.7%11.9%11.0%10.9%8.9%9.1%10.3%9.2%6.4%9.3%12.1%12.6%
Net Income$2.9B$2.9B$2.6B$2.0B$1.8B$1.4B$855M$1.4B$1.3B$1.3B$1.5B$665M$932M$619M$1.0B$426M$642M$451M($2.6B)$4.0B$1.0B
Net Margin %13.4%13.7%12.9%11.5%11.0%10.1%6.9%10.8%10.8%9.2%10.9%5.0%7.2%5.0%8.4%2.9%4.6%3.4%-19.8%45.3%9.0%
EBITDA$4.3B$4.2B$3.9B$3.1B$2.7B$2.3B$1.8B$1.9B$2.2B$2.0B$2.3B$1.8B$1.8B$1.4B$1.4B$1.3B$1.7B$1.3B($2.1B)$1.2B$1.6B
Earnings Per Share (EPS)$12.93$13.05$11.24$8.77$7.48$5.87$3.52$5.77$5.35$5.05$5.64$2.48$3.40$2.07$3.24$1.26$1.89$1.37$-8.64$13.43$3.20
Shares Outstanding (M)223M224M228M231M235M242M243M244M250M258M262M268M274M298M311M339M340M329M304M295M323M

USD; $M / $B as marked. Newest period first. Source: public company filings (via Yahoo Finance aggregation).

TT Quarterly Revenue & Earnings — Last 8 Quarters

Quarterly income statement2026-03-312025-12-312025-09-302025-06-302025-03-312024-12-312024-09-302024-06-30
Total Revenue$5.0B$5.1B$5.7B$5.7B$4.7B$4.9B$5.4B$5.3B
Gross Profit$1.7B$1.8B$2.1B$2.2B$1.7B$1.7B$2.0B$1.9B
Gross Margin %34.8%34.1%36.9%37.6%35.8%35.1%36.3%36.5%
Operating Income (EBIT)$776M$819M$1.2B$1.2B$819M$808M$1.0B$1.0B
Operating Margin %15.6%15.9%20.3%20.3%17.5%16.6%18.8%19.5%
Net Income$584M$591M$848M$875M$605M$604M$772M$755M
Net Margin %11.8%11.5%14.8%15.2%12.9%12.4%14.2%14.2%
EBITDA$892M$888M$1.2B$1.2B$910M$907M$1.1B$1.1B
Earnings Per Share (EPS)$2.62$2.64$3.78$3.89$2.67$2.66$3.39$3.30
Shares Outstanding (M)223M224M224M225M226M227M228M229M

USD; $M / $B as marked. Newest period first. Source: public company filings (via Yahoo Finance aggregation).

TT Free Cash Flow History

Cash flowTTM → 2026-03-312025-12-312024-12-312023-12-312022-12-312021-12-312020-12-312019-12-312018-12-312017-12-312016-12-312015-12-312014-12-312013-12-312012-12-312011-12-312010-12-312009-12-312008-12-312007-12-312006-12-31
Cash from Operations (CFO)$3.5B$3.2B$3.1B$2.4B$1.5B$1.6B$1.4B$1.9B$1.4B$1.5B$1.5B$888M$973M$1.2B$1.2B$1.2B$695M$1.7B$331M$896M$972M
Capital Expenditures (CapEx)$343M$383M$371M$301M$292M$223M$146M$254M$366M$221M$183M$250M$234M$242M$263M$243M$180M$204M$306M$120M$212M
Free Cash Flow (FCF)$3.2B$2.8B$2.8B$2.1B$1.2B$1.4B$1.3B$1.7B$1.0B$1.3B$1.3B$639M$740M$928M$918M$944M$516M$1.5B$25M$776M$760M
FCF Margin %14.6%13.2%14.0%11.8%7.6%9.7%10.3%12.7%8.4%9.2%9.9%4.8%5.7%7.5%7.7%6.4%3.7%11.6%0.2%8.9%6.7%
Dividends Paid$860M$837M$758M$684M$620M$561M$507M$510M$480M$430M$349M$303M$265M$246M$213M$137M$111M$181M$213M$210M$218M

USD; $M / $B as marked. Newest period first. Source: public company filings (via Yahoo Finance aggregation).

TT Quarterly Free Cash Flow — Last 8 Quarters

Quarterly cash flow2026-03-312025-12-312025-09-302025-06-302025-03-312024-12-312024-09-302024-06-30
Cash from Operations (CFO)$621M$1.2B$1.0B$692M$340M$900M$1.3B$692M
Capital Expenditures (CapEx)$80M$105M$68M$90M$119M$126M$89M$72M
Free Cash Flow (FCF)$542M$1.1B$954M$602M$221M$774M$1.2B$620M
FCF Margin %10.9%20.6%16.6%10.5%4.7%15.9%22.3%11.7%
Dividends Paid$235M$205M$209M$210M$210M$189M$189M$188M

USD; $M / $B as marked. Newest period first. Source: public company filings (via Yahoo Finance aggregation).

TT Balance Sheet History

Balance sheet2026-03-312025-12-312024-12-312023-12-312022-12-312021-12-312020-12-312019-12-312018-12-312017-12-312016-12-312015-12-312014-12-312013-12-312012-12-312011-12-312010-12-312009-12-312008-12-312007-12-312006-12-31
Total Assets$22.8B$21.4B$20.1B$19.4B$18.1B$18.1B$18.2B$20.5B$17.9B$18.2B$17.4B$16.7B$17.3B$17.7B$18.5B$18.8B$20.0B$20.0B$20.9B$14.4B$12.1B
Cash & Cash Equivalents$1.1B$1.8B$1.6B$1.1B$1.2B$2.2B$3.3B$1.3B$903M$1.5B$1.7B$737M$1.7B$1.9B$882M$1.2B$1.0B$877M$550M$4.7B$362M
Total Liabilities$14.1B$12.8B$12.7B$12.4B$12.0B$11.8B$11.7B$13.2B$10.8B$11.0B$10.7B$10.9B$11.3B$10.5B$11.3B$11.7B$11.9B$12.8B$14.2B$6.4B$6.7B
Total Debt (Short + Long-Term)$4.6B$4.6B$4.9B$4.8B$4.8B$4.8B$5.3B$5.6B$4.1B$4.1B$4.1B$4.2B$483M$368M$963M$763M$762M$1.2B$2.4B$741M$1.1B
Total Shareholders' Equity$8.6B$8.6B$7.5B$7.0B$6.1B$6.3B$6.4B$7.3B$7.1B$7.2B$6.7B$5.9B$6.0B$7.1B$7.2B$6.9B$8.0B$7.1B$6.7B$7.9B$5.4B

USD; $M / $B as marked. Newest period first. Source: public company filings (via Yahoo Finance aggregation).

Quarterly statements, profitability ratios, price history, insider activity and institutional holders are in the interactive TT viewer.

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