Symbols / ATMU Stock $62.24 +1.48% Atmus Filtration Technologies Inc.

Consumer Cyclical • Auto Parts • United States • NYQ
ATMU (Stock) Chart
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Stock Fundamentals
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Index EQUITY
Sector Consumer Cyclical
Industry Auto Parts
CEO Ms. Stephanie Juanita Disher
Exch · Country NYQ · United States
Market Cap 5.08B
Enterprise Value 5.45B
Income 207.40M
Sales 1.76B
FCF (ttm) 68.06M
Book/sh 4.64
Cash/sh 2.90
Employees 4,500
Insider 10d
IPO May 26, 2023
Div forward ($/yr)
Div TTM ($/yr)
Dividend Yield
Ex-Div Date
5Y Avg Yield
Yield vs 5Y Avg
Payout 8.40%
P/E 24.90
Forward P/E 19.34
PEG
P/S 2.88
P/B 13.40
P/C
EV/EBITDA 17.54
EV/Sales 3.09
Quick Ratio 1.51
Current Ratio 2.42
Debt/Eq 161.96
LT Debt/Eq
EPS (ttm) 2.50
EPS next Y 3.22
EPS Growth 21.00%
Revenue Growth 9.80%
EPS Gr Q/Q 19.70%
Rev Gr Q/Q
Earnings (next) 2026-05-01
Earnings (prior) 2026-02-13
ROA 13.81%
ROE 68.46%
ROIC
Gross Margin 28.88%
Oper. Margin 13.84%
Profit Margin 11.76%
Shs Outstand 81.67M
Shs Float 80.84M
Insider Own 0.51%
Instit Own 104.93%
Short Float 5.98%
Short Ratio 2.71
Short Interest 4.36M
52W High 66.50
vs 52W High -6.41%
52W Low 33.58
vs 52W Low 85.35%
Beta 1.59
Impl. Vol. 68.18%
Rel Volume 0.33
Avg Volume 1.18M
Volume 385.07K
Target (mean) $68.60
Tgt Median $70.00
Tgt Low $58.00
Tgt High $76.00
# Analysts 5
Recom None
Prev Close $61.33
Price $62.24
Change 1.48%
About

Atmus Filtration Technologies Inc. designs, manufactures, and sells filtration products under the Fleetguard brand in the United States and internationally. It offers fuel filters, lube filters, air filters, crankcase ventilation, hydraulic filters and coolants and other chemicals for on-highway commercial vehicles and off-highway agriculture, construction, mining, and power generation vehicles and equipment. The company also develops filtration technologies, including filtration media, filter element formation, filtration systems integration; and service-related solutions, such as remote digital diagnostic and prognostic platforms, and analytics. Atmus Filtration Technologies Inc. was founded in 1958 and is headquartered in Nashville, Tennessee.

Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus Mean price target
2. Current target Latest analyst target
3. DCF / Fair value Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$62.24
Low
$58.00
High
$76.00
Mean
$68.60

Latest analyst rating changes

Date Action Analyst Rating Change Price Target
2026-04-01 main JP Morgan Overweight → Overweight $70
2026-04-01 main Wells Fargo Equal-Weight → Equal-Weight $58
2026-03-30 main Baird Outperform → Outperform $66
2026-02-18 main Baird Outperform → Outperform $69
2026-02-17 main Wells Fargo Equal-Weight → Equal-Weight $67
2026-01-14 main JP Morgan Overweight → Overweight $64
2026-01-07 main Wells Fargo Equal-Weight → Equal-Weight $54
2025-11-26 up JP Morgan Neutral → Overweight $60
2025-11-10 main JP Morgan Neutral → Neutral $53
2025-11-10 main Wells Fargo Equal-Weight → Equal-Weight $52
2025-10-14 main JP Morgan Neutral → Neutral $47
2025-09-18 main Wells Fargo Equal-Weight → Equal-Weight $47
2025-08-20 down JP Morgan Overweight → Neutral $46
2025-08-11 main Baird Outperform → Outperform $45
2025-07-01 main Wells Fargo Equal-Weight → Equal-Weight $39
2025-05-27 down Goldman Sachs Buy → Neutral $39
2025-05-05 main JP Morgan Overweight → Overweight $41
2025-05-05 main Wells Fargo Equal-Weight → Equal-Weight $37
2025-04-11 main JP Morgan Overweight → Overweight $38
2025-03-27 main JP Morgan Overweight → Overweight $46
Insider Transactions
Filed Date Insider Relationship Transaction Shares Price Value SEC
2026-04-01 HELTEBRAN LAURA Officer 3,717 $0.00 $0
2026-04-01 KIENZLER JACK Chief Financial Officer 5,163 $0.00 $0
2026-04-01 DISHER STEPHANIE Chief Executive Officer 31,492 $0.00 $0
2026-04-01 MASTERS CHARLES Officer 4,130 $0.00 $0
2026-04-01 SWAN RENEE Officer 1,962 $0.00 $0
2026-02-13 KIENZLER JACK Chief Financial Officer 41,094 $0.00 $0
2026-02-13 DISHER STEPHANIE Chief Executive Officer 169,209 $0.00 $0
2026-02-13 MASTERS CHARLES Officer 21,152 $0.00 $0
2026-02-13 SWAN RENEE Officer 18,536 $0.00 $0
2026-02-05 SHARP HEATH Director 614 $0.00 $0
Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
1,764.30
+5.67%
1,669.60
+2.55%
1,628.10
+4.23%
1,562.10
Operating Revenue
1,447.90
+8.41%
1,335.60
+3.29%
1,293.00
+3.49%
1,249.40
Cost Of Revenue
1,266.00
+4.84%
1,207.50
+1.01%
1,195.40
-0.62%
1,202.90
Reconciled Cost Of Revenue
1,266.00
+4.84%
1,207.50
+1.01%
1,195.40
-0.62%
1,202.90
Gross Profit
498.30
+7.83%
462.10
+6.79%
432.70
+20.46%
359.20
Operating Expense
233.10
+1.26%
230.20
+5.64%
217.90
+18.88%
183.30
Research And Development
40.70
+0.25%
40.60
-4.47%
42.50
+10.10%
38.60
Selling General And Administration
184.30
-1.76%
187.60
+7.38%
174.70
+25.05%
139.70
Other Operating Expenses
8.10
+305.00%
2.00
+185.71%
0.70
-86.00%
5.00
Total Expenses
1,499.10
+4.27%
1,437.70
+1.73%
1,413.30
+1.95%
1,386.20
Operating Income
265.20
+14.36%
231.90
+7.96%
214.80
+22.11%
175.90
Total Operating Income As Reported
299.00
+12.32%
266.20
+7.17%
248.40
+21.82%
203.90
EBITDA
329.60
+9.79%
300.20
+9.68%
273.70
+16.82%
234.30
Normalized EBITDA
329.60
+9.79%
300.20
+9.68%
273.70
+16.82%
234.30
Reconciled Depreciation
30.00
+20.97%
24.80
+15.35%
21.50
-0.46%
21.60
EBIT
299.60
+8.79%
275.40
+9.20%
252.20
+18.57%
212.70
Net Income
207.40
+11.75%
185.60
+8.35%
171.30
+0.53%
170.40
Pretax Income
266.20
+13.37%
234.80
+3.71%
226.40
+6.79%
212.00
Net Non Operating Interest Income Expense
-33.40
+17.73%
-40.60
-57.36%
-25.80
-3585.71%
-0.70
Interest Expense Non Operating
33.40
-17.73%
40.60
+57.36%
25.80
+3585.71%
0.70
Net Interest Income
-33.40
+17.73%
-40.60
-57.36%
-25.80
-3585.71%
-0.70
Interest Expense
33.40
-17.73%
40.60
+57.36%
25.80
+3585.71%
0.70
Other Income Expense
34.40
-20.92%
43.50
+16.31%
37.40
+1.63%
36.80
Other Non Operating Income Expenses
0.60
-93.48%
9.20
+142.11%
3.80
-56.82%
8.80
Tax Provision
58.80
+19.51%
49.20
-10.71%
55.10
+32.45%
41.60
Tax Rate For Calcs
0.00
+5.42%
0.00
-13.77%
0.00
+23.98%
0.00
Tax Effect Of Unusual Items
0.00
0.00
0.00
0.00
Net Income Including Noncontrolling Interests
207.40
+11.75%
185.60
+8.35%
171.30
+0.53%
170.40
Net Income From Continuing Operation Net Minority Interest
207.40
+11.75%
185.60
+8.35%
171.30
+0.53%
170.40
Net Income From Continuing And Discontinued Operation
207.40
+11.75%
185.60
+8.35%
171.30
+0.53%
170.40
Net Income Continuous Operations
207.40
+11.75%
185.60
+8.35%
171.30
+0.53%
170.40
Normalized Income
207.40
+11.75%
185.60
+8.35%
171.30
+0.53%
170.40
Net Income Common Stockholders
207.40
+11.75%
185.60
+8.35%
171.30
+0.53%
170.40
Diluted EPS
2.50
+12.61%
2.22
+8.29%
2.05
+0.21%
2.05
Basic EPS
2.52
+13.00%
2.23
+8.25%
2.06
+0.70%
2.05
Basic Average Shares
82.20
-1.20%
83.20
-0.12%
83.30
+0.00%
83.30
Diluted Average Shares
82.80
-0.96%
83.60
+0.24%
83.40
+0.12%
83.30
Diluted NI Availto Com Stockholders
207.40
+11.75%
185.60
+8.35%
171.30
+0.53%
170.40
Earnings From Equity Interest
33.80
-1.46%
34.30
+2.08%
33.60
+20.00%
28.00
Line Item Trend 2025-12-31 2024-12-31 2023-12-31
Total Assets
1,350.70
+13.48%
1,190.30
+9.34%
1,088.60
Current Assets
892.40
+18.20%
755.00
+8.95%
693.00
Cash Cash Equivalents And Short Term Investments
236.40
+28.27%
184.30
+9.70%
168.00
Cash And Cash Equivalents
236.40
+28.27%
184.30
+9.70%
168.00
Receivables
320.10
+25.92%
254.20
+3.00%
246.80
Accounts Receivable
320.10
+25.92%
254.20
+3.00%
246.80
Gross Accounts Receivable
323.50
+25.78%
257.20
+3.00%
249.70
Allowance For Doubtful Accounts Receivable
-3.40
-13.33%
-3.00
-3.45%
-2.90
Inventory
282.30
+5.89%
266.60
+6.64%
250.00
Work In Process
97.20
+6.70%
91.10
-9.89%
101.10
Finished Goods
217.20
+1.83%
213.30
+19.03%
179.20
Prepaid Assets
Other Current Assets
53.60
+7.41%
49.90
+76.95%
28.20
Total Non Current Assets
458.30
+5.28%
435.30
+10.04%
395.60
Net PPE
197.10
+5.85%
186.20
+6.64%
174.60
Gross PPE
514.00
+8.60%
473.30
+5.65%
448.00
Accumulated Depreciation
-316.90
-10.38%
-287.10
-5.01%
-273.40
Properties
76.40
+9.30%
69.90
+0.00%
69.90
Land And Improvements
Machinery Furniture Equipment
398.70
+10.44%
361.00
+12.53%
320.80
Construction In Progress
38.90
-8.25%
42.40
-26.00%
57.30
Goodwill And Other Intangible Assets
84.70
+0.00%
84.70
+0.00%
84.70
Goodwill
84.70
+0.00%
84.70
+0.00%
84.70
Investments And Advances
89.20
+5.06%
84.90
+0.12%
84.80
Long Term Equity Investment
84.80
Non Current Accounts Receivable
43.10
+6.95%
40.30
+44.44%
27.90
Non Current Deferred Assets
14.00
-24.32%
18.50
+30.28%
14.20
Non Current Deferred Taxes Assets
14.00
-24.32%
18.50
+30.28%
14.20
Other Non Current Assets
30.20
+45.89%
20.70
+120.21%
9.40
Total Liabilities Net Minority Interest
972.20
+0.97%
962.90
-4.46%
1,007.90
Current Liabilities
368.20
+6.76%
344.90
-8.03%
375.00
Payables And Accrued Expenses
282.30
+3.52%
272.70
-14.33%
318.30
Payables
215.80
+0.47%
214.80
-17.26%
259.60
Accounts Payable
201.90
+4.56%
193.10
-18.39%
236.60
Current Accrued Expenses
66.50
+14.85%
57.90
-1.36%
58.70
Pensionand Other Post Retirement Benefit Plans Current
37.90
+1.88%
37.20
-11.00%
41.80
Total Tax Payable
13.90
-35.94%
21.70
-5.65%
23.00
Income Tax Payable
9.40
+38.24%
6.80
-33.98%
10.30
Current Debt And Capital Lease Obligation
48.00
+37.14%
35.00
+134.90%
14.90
Current Debt
30.00
+33.33%
22.50
+200.00%
7.50
Other Current Borrowings
30.00
+33.33%
22.50
+200.00%
7.50
Current Capital Lease Obligation
18.00
+44.00%
12.50
+68.92%
7.40
Total Non Current Liabilities Net Minority Interest
604.00
-2.27%
618.00
-2.35%
632.90
Long Term Debt And Capital Lease Obligation
563.80
-5.50%
596.60
-2.36%
611.00
Long Term Debt
540.00
-5.26%
570.00
-3.80%
592.50
Long Term Capital Lease Obligation
23.80
-10.53%
26.60
+43.78%
18.50
Tradeand Other Payables Non Current
0.80
+100.00%
0.40
+100.00%
0.20
Non Current Deferred Liabilities
13.10
+835.71%
1.40
+0.00%
1.40
Non Current Deferred Taxes Liabilities
13.10
+835.71%
1.40
+0.00%
1.40
Other Non Current Liabilities
18.30
+48.78%
12.30
+5.13%
11.70
Stockholders Equity
378.50
+66.45%
227.40
+181.78%
80.70
Common Stock Equity
378.50
+66.45%
227.40
+181.78%
80.70
Capital Stock
0.00
0.00
0.00
Common Stock
0.00
0.00
0.00
Share Issued
83.50
+0.12%
83.40
+0.13%
83.30
Ordinary Shares Number
81.51
-1.64%
82.87
-0.52%
83.30
Treasury Shares Number
2.00
+271.24%
0.54
0.00
Additional Paid In Capital
72.70
+17.45%
61.90
+24.55%
49.70
Retained Earnings
454.60
+71.87%
264.50
+203.33%
87.20
Gains Losses Not Affecting Retained Earnings
-68.10
+13.80%
-79.00
-40.57%
-56.20
Treasury Stock
80.70
+303.50%
20.00
0.00
Total Equity Gross Minority Interest
378.50
+66.45%
227.40
+181.78%
80.70
Total Capitalization
918.50
+15.19%
797.40
+18.45%
673.20
Working Capital
524.20
+27.82%
410.10
+28.96%
318.00
Invested Capital
948.50
+15.68%
819.90
+20.45%
680.70
Total Debt
611.80
-3.13%
631.60
+0.91%
625.90
Net Debt
333.60
-18.28%
408.20
-5.51%
432.00
Capital Lease Obligations
41.80
+6.91%
39.10
+50.97%
25.90
Net Tangible Assets
293.80
+105.89%
142.70
+3667.50%
-4.00
Tangible Book Value
293.80
+105.89%
142.70
+3667.50%
-4.00
Duefrom Related Parties Current
62.30
Dueto Related Parties Current
62.40
Foreign Currency Translation Adjustments
-67.20
+15.37%
-79.40
-41.53%
-56.10
Inventories Adjustments Allowances
-32.10
+15.08%
-37.80
-24.75%
-30.30
Investmentsin Joint Venturesat Cost
Minimum Pension Liabilities
-0.90
-325.00%
0.40
+500.00%
-0.10
Non Current Accrued Expenses
8.00
+9.59%
7.30
-15.12%
8.60
Other Equity Interest
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
202.70
+92.31%
105.40
-44.23%
189.00
+14.06%
165.70
Cash Flow From Continuing Operating Activities
202.70
+92.31%
105.40
-44.23%
189.00
+14.06%
165.70
Net Income From Continuing Operations
207.40
+11.75%
185.60
+8.35%
171.30
+0.53%
170.40
Depreciation Amortization Depletion
30.00
+20.97%
24.80
+15.35%
21.50
-0.46%
21.60
Depreciation And Amortization
30.00
+20.97%
24.80
+15.35%
21.50
-0.46%
21.60
Other Non Cash Items
-2.70
+46.00%
-5.00
-1566.67%
-0.30
-103.57%
8.40
Stock Based Compensation
12.40
+4.20%
11.90
+65.28%
7.20
0.00
Asset Impairment Charge
8.40
0.00
0.00
Deferred Tax
18.70
+342.86%
-7.70
+23.00%
-10.00
+21.26%
-12.70
Deferred Income Tax
18.70
+342.86%
-7.70
+23.00%
-10.00
+21.26%
-12.70
Operating Gains Losses
-10.50
-72.13%
-6.10
+50.41%
-12.30
-720.00%
-1.50
Net Foreign Currency Exchange Gain Loss
-3.90
-8.33%
-3.60
+20.00%
-4.50
-136.84%
-1.90
Change In Working Capital
-61.00
+37.82%
-98.10
-945.69%
11.60
+156.59%
-20.50
Change In Receivables
-55.20
-228.57%
-16.80
-66.34%
-10.10
+44.81%
-18.30
Changes In Account Receivables
-55.20
-228.57%
-16.80
-66.34%
-10.10
+44.81%
-18.30
Change In Inventory
-7.10
+72.05%
-25.40
-490.70%
-4.30
+55.67%
-9.70
Change In Prepaid Assets
-4.00
+80.00%
-20.00
-124.72%
-8.90
-45.90%
-6.10
Change In Payables And Accrued Expense
3.10
+107.54%
-41.10
-218.79%
34.60
+79.27%
19.30
Change In Accrued Expense
5.40
+400.00%
-1.80
-105.96%
30.20
+3675.00%
0.80
Change In Payable
-2.30
+94.15%
-39.30
-993.18%
4.40
-76.22%
18.50
Change In Account Payable
-2.30
+94.15%
-39.30
-993.18%
4.40
-76.22%
18.50
Change In Other Current Liabilities
2.20
-57.69%
5.20
+1633.33%
0.30
+105.26%
-5.70
Investing Cash Flow
-53.90
-10.91%
-48.60
-6.11%
-45.80
-22.13%
-37.50
Cash Flow From Continuing Investing Activities
-53.90
-10.91%
-48.60
-6.11%
-45.80
-22.13%
-37.50
Capital Expenditure
-53.90
-10.91%
-48.60
-6.11%
-45.80
-22.13%
-37.50
Capital Expenditure Reported
-53.90
-10.91%
-48.60
-6.11%
-45.80
-22.13%
-37.50
Net Intangibles Purchase And Sale
-0.90
Purchase Of Intangibles
-0.90
Financing Cash Flow
-101.70
-184.08%
-35.80
-244.35%
24.80
+119.34%
-128.20
Cash Flow From Continuing Financing Activities
-101.70
-184.08%
-35.80
-244.35%
24.80
+119.34%
-128.20
Net Issuance Payments Of Debt
-22.50
-200.00%
-7.50
-101.25%
600.00
0.00
Issuance Of Debt
0.00
0.00
-100.00%
650.00
0.00
Repayment Of Debt
-22.50
-200.00%
-7.50
+85.00%
-50.00
0.00
Long Term Debt Issuance
0.00
0.00
-100.00%
650.00
0.00
Long Term Debt Payments
-22.50
-200.00%
-7.50
+85.00%
-50.00
0.00
Net Long Term Debt Issuance
-22.50
-200.00%
-7.50
-101.25%
600.00
0.00
Net Short Term Debt Issuance
-579.50
-352.03%
-128.20
Net Common Stock Issuance
-60.70
-203.50%
-20.00
0.00
0.00
Common Stock Payments
-60.70
-203.50%
-20.00
0.00
0.00
Common Stock Dividend Paid
-17.30
-108.43%
-8.30
0.00
0.00
Cash Dividends Paid
-17.30
-108.43%
-8.30
0.00
0.00
Repurchase Of Capital Stock
-60.70
-203.50%
-20.00
0.00
0.00
Net Other Financing Charges
-1.20
-575.20
-348.67%
-128.20
Changes In Cash
47.10
+124.29%
21.00
-87.50%
168.00
Effect Of Exchange Rate Changes
5.00
+206.38%
-4.70
0.00
0.00
Beginning Cash Position
184.30
+9.70%
168.00
0.00
0.00
End Cash Position
236.40
+28.27%
184.30
+9.70%
168.00
0.00
Free Cash Flow
148.80
+161.97%
56.80
-60.34%
143.20
+11.70%
128.20
Earnings Losses From Equity Investments
-6.60
-164.00%
-2.50
+67.95%
-7.80
-2050.00%
0.40
SEC Filings

Recent 10-K, 10-Q, 8-K, and Form 4 (insider) filings.

Trades
Date User Broker Pattern Type Position Size Entry Price Trade P&L Status
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