Franklin Electric Co., Inc. (FELE) Actionnariat — Transactions d'Initiés et Politiques
Franklin Electric Co., Inc. (FELE) — Prix $96.10 — Industrials — Industrial - Machinery — NASDAQ
Données de Financial Modeling Prep · mis à jour le 16 septembre 2026 · cours différés de 15 min
Derniers résultats publiés: 28 juillet 2026
Actionnariat et activité des initiés pour Franklin Electric Co., Inc. (FELE): transactions des initiés, déclarations de trading du Sénat et de la Chambre américaine et actions en circulation. Suivez comment dirigeants et politiciens négocient le titre.
Prix
Prix $96.10
Capitalisation $4.2B
Bourse NASDAQ
Pays US
Transactions d'Initiés Récentes Date Initié Type Actions Valeur 2026-09-01 SENGSTACK GREGG C A-Award 366 $36K 2026-09-01 SENGSTACK GREGG C F-InKind 145 $14K 2026-08-20 SHERMAN JENNIFER L A-Award 139 2026-08-20 PETERSON RENEE J A-Award 103 2026-08-20 Villavarayan Chris A-Award 14 2026-08-20 SENGSTACK GREGG C A-Award 4 2026-08-20 Carano Mark A A-Award 8 2026-08-07 SENGSTACK GREGG C M-Exempt 18,000 $774K 2026-08-07 SENGSTACK GREGG C F-InKind 11,372 $1.2M 2026-08-07 SENGSTACK GREGG C M-Exempt 18,000 $774K
Bilan (10 ans) Année 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025 Trésorerie $104.3M $67.2M $59.2M $64.4M $130.8M $40.5M $45.8M $85.0M $220.5M $99.7M Placements à Court Terme 0 0 0 0 0 0 0 0 0 0 Créances $146.0M $171.0M $172.9M $173.3M $159.8M $196.2M $230.4M $222.4M $226.8M $247.5M Stocks $203.5M $312.3M $314.0M $300.2M $300.9M $450.0M $545.0M $508.7M $483.9M $553.0M Actifs Courants $483.8M $589.1M $579.9M $567.4M $619.3M $724.6M $858.1M $853.8M $964.2M $958.6M Immobilisations Corporelles $196.1M $215.7M $207.1M $228.9M $241.0M $259.0M $264.1M $286.8M $286.2M $320.0M Goodwill $199.6M $236.8M $248.7M $256.1M $266.7M $329.6M $328.0M $342.4M $338.5M $398.1M Actifs Incorporels $134.7M $131.5M $135.1M $131.1M $133.8M $249.7M $231.3M $230.0M $213.0M $251.7M Actifs Totaux $1.04B $1.19B $1.18B $1.19B $1.27B $1.58B $1.69B $1.73B $1.82B $1.94B Dettes Fournisseurs $63.9M $79.3M $76.7M $82.6M $95.9M $164.8M $139.3M $152.4M $157.0M $175.0M Dette à Court Terme $33.7M $100.5M $112.0M $31.7M $13.6M $113.3M $142.7M $12.4M $117.8M $31.8M Passifs Courants $157.8M $245.9M $255.9M $185.8M $203.7M $396.0M $405.8M $287.0M $433.7M $344.0M Dette à Long Terme $156.5M $125.6M $94.4M $93.1M $92.0M $90.5M $89.3M $88.1M $11.6M $135.2M Passifs Totaux $424.8M $482.7M $446.5M $396.1M $422.4M $626.5M $623.4M $517.8M $550.8M $617.4M Réserves $550.1M $604.9M $654.7M $712.5M $764.6M $859.8M $969.3M $1.08B $1.15B $1.08B Capitaux Propres $615.1M $702.6M $735.8M $798.7M $847.8M $946.5M $1.07B $1.21B $1.27B $1.32B Dette Totale $190.3M $226.0M $206.4M $142.6M $126.5M $236.8M $264.8M $156.3M $191.6M $234.0M Dette Nette $85.9M $158.8M $147.2M $78.2M -$4.3M $196.2M $219.1M $71.3M -$28.9M $134.3M Fonds de Roulement $326.1M $343.2M $324.0M $381.7M $415.6M $328.6M $452.3M $566.8M $530.5M $614.6M
Santé financière
Dette / Capitaux propres 0.22
Ratio de liquidité 2.41
Piotroski F-Score 6
Altman Z-Score 6.90
Rentabilité
Rentabilité des capitaux propres 11.59%
Rentabilité du capital investi 11.84%
Rentabilité des actifs 7.26%
Marge brute 35.52%
Marge opérationnelle 12.82%
Marge nette 7.06%