Symbols / GBX $48.03 -0.37% The Greenbrier Companies, Inc.

Industrials • Railroads • United States • NYQ
GBX Chart
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About

The Greenbrier Companies, Inc. designs, manufactures, and markets railroad freight car equipment in North America, Europe, and South America. It operates through Manufacturing, and Leasing & Management Services. The Manufacturing segment offers covered hopper cars, gondolas, open top hoppers, boxcars, center partition cars, tank cars, sustainable conversions, intermodal railcars, and railcar equipment; reconditioning of wheels and axles, new axle machining and finishing, and downsizing; operates a railcar maintenance network; and reconditions and manufactures railcar cushioning units, couplers, yokes, side frames, bolsters, and various other parts. The Leasing & Management Services segment offers operating leases and per diem leases for a fleet of approximately 17,000 railcars; and management services comprising railcar maintenance management, railcar accounting services, fleet management and logistics, administration, and railcar re-marketing. This segment provides management services for railroads, shippers, carriers, institutional investors, and other leasing and transportation companies. It serves railroads, leasing companies, financial institutions, shippers, carriers, and transportation companies. The company was founded in 1974 and is headquartered in Lake Oswego, Oregon.

Fundamentals
Scroll to Statements
Market Cap 1.49B Enterprise Value 2.98B Income 148.30M Sales 2.90B Book/sh 50.57 Cash/sh 17.20
Dividend Yield 2.83% Payout 27.29% Employees 11000 IPO P/E 10.24 Forward P/E 11.81
PEG 0.58 P/S 0.51 P/B 0.95 P/C EV/EBITDA 8.77 EV/Sales 1.03
Quick Ratio 1.93 Current Ratio 3.71 Debt/Eq 105.01 LT Debt/Eq EPS (ttm) 4.69 EPS next Y 4.07
EPS Growth -69.90% Revenue Growth -22.90% Earnings 2026-07-01 ROA 3.11% ROE 9.31% ROIC
Gross Margin 16.16% Oper. Margin 2.06% Profit Margin 5.12% Shs Outstand 30.94M Shs Float 30.12M Short Float 9.97%
Short Ratio 7.58 Short Interest 52W High 59.19 52W Low 38.23 Beta 1.61 Avg Volume 427.44K
Volume 241.36K Target Price $44.67 Recom Hold Prev Close $48.21 Price $48.03 Change -0.37%
Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus
$44.67
Mean price target
2. Current target
$48.03
Latest analyst target
3. DCF / Fair value
$78.75
Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$48.03
Low
$39.00
High
$52.00
Mean
$44.67

Latest analyst rating changes

Date Action Analyst Rating Change Price Target
2026-01-26 main Susquehanna Positive → Positive $60
2025-11-21 init Goldman Sachs — → Sell $38
2025-10-29 main Susquehanna Positive → Positive $52
2025-07-02 main Susquehanna Positive → Positive $57
2025-04-08 main Susquehanna Positive → Positive $52
2025-01-09 main B of A Securities Underperform → Underperform $62
2024-10-24 main B of A Securities Underperform → Underperform $50
2024-10-21 main Susquehanna Positive → Positive $65
2024-04-09 main Susquehanna Positive → Positive $63
2024-04-08 main Stephens & Co. Overweight → Overweight $65
2023-10-26 main Susquehanna Positive → Positive $46
2023-10-16 up Susquehanna Neutral → Positive $50
2023-09-22 main B of A Securities Underperform → Underperform $42
2023-09-07 down Wells Fargo Overweight → Equal-Weight $40
2023-06-30 main Wells Fargo — → Overweight $48
2023-04-14 main B of A Securities — → Underperform $33
2023-04-13 main Susquehanna — → Neutral $33
2023-04-11 main B of A Securities — → Underperform $35
2023-04-11 main Stephens & Co. — → Overweight $38
2023-01-17 down B of A Securities Neutral → Underperform
Insider Transactions
Filed Date Insider Relationship Transaction Shares Price Value SEC
2026-02-03 TERAMOTO WENDY L Director 294 $0.00 $0
2026-01-30 KRUEGER WILLIAM J Officer 6,000 $50.00 $300,000
2026-01-07 FARGO THOMAS BOULTON Director 2,528 $50.61 $127,942
2026-01-07 TERAMOTO WENDY L Director 3,465 $0.00 $0
2026-01-07 JACK GRAEME ALLAN Director 2,528 $50.61 $127,942
2026-01-07 WILLIAMS KELLY MARIE Director 2,528 $50.61 $127,942
2026-01-07 FELTON WANDA F. Director 2,772 $0.00 $0
2026-01-07 FELTON WANDA F. Director 2,022
2026-01-07 GARZA ANTONIO O JR. Director 3,465 $0.00 $0
2026-01-07 HUFFINES JAMES R Director 2,528 $50.61 $127,942
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 2025-08-31 2024-08-31 2023-08-31 2022-08-31
Total Revenue
3,240.20
-8.59%
3,544.70
-10.12%
3,944.00
+32.45%
2,977.70
Operating Revenue
3,240.20
-8.59%
3,544.70
-10.12%
3,944.00
+32.45%
2,977.70
Cost Of Revenue
2,632.70
-11.84%
2,986.20
-14.75%
3,502.90
+31.11%
2,671.70
Reconciled Cost Of Revenue
2,632.70
-11.84%
2,986.20
-14.75%
3,502.90
+31.11%
2,671.70
Gross Profit
607.50
+8.77%
558.50
+26.62%
441.10
+44.15%
306.00
Operating Expense
263.30
+6.56%
247.10
+5.01%
235.30
+4.48%
225.20
Selling General And Administration
263.30
+6.56%
247.10
+5.01%
235.30
+4.48%
225.20
Total Expenses
2,896.00
-10.43%
3,233.30
-13.51%
3,738.20
+29.04%
2,896.90
Operating Income
344.20
+10.53%
311.40
+51.31%
205.80
+154.70%
80.80
Total Operating Income As Reported
360.10
+10.97%
324.50
+83.96%
176.40
+49.49%
118.00
EBITDA
485.20
+12.00%
433.20
+56.67%
276.50
+26.66%
218.30
Normalized EBITDA
465.70
+9.06%
427.00
+36.82%
312.10
+70.73%
182.80
Reconciled Depreciation
121.50
+5.10%
115.60
+8.75%
106.30
+4.22%
102.00
EBIT
363.70
+14.52%
317.60
+86.60%
170.20
+46.35%
116.30
Total Unusual Items
19.50
+214.52%
6.20
+117.42%
-35.60
-200.28%
35.50
Total Unusual Items Excluding Goodwill
19.50
+214.52%
6.20
+117.42%
-35.60
-200.28%
35.50
Special Income Charges
15.90
+21.37%
13.10
+144.56%
-29.40
-179.03%
37.20
Other Special Charges
Impairment Of Capital Assets
0.00
0.00
-100.00%
46.70
0.00
Net Income
204.10
+27.48%
160.10
+156.16%
62.50
+33.26%
46.90
Pretax Income
284.40
+27.13%
223.70
+145.82%
91.00
+50.17%
60.60
Net Non Operating Interest Income Expense
-79.30
+15.55%
-93.90
-18.56%
-79.20
-42.19%
-55.70
Interest Expense Non Operating
79.30
-15.55%
93.90
+18.56%
79.20
+42.19%
55.70
Net Interest Income
-79.30
+15.55%
-93.90
-18.56%
-79.20
-42.19%
-55.70
Interest Expense
79.30
-15.55%
93.90
+18.56%
79.20
+42.19%
55.70
Other Income Expense
19.50
+214.52%
6.20
+117.42%
-35.60
-200.28%
35.50
Gain On Sale Of Security
3.60
+152.17%
-6.90
-11.29%
-6.20
-264.71%
-1.70
Tax Provision
91.40
+47.42%
62.00
+152.03%
24.60
+35.91%
18.10
Tax Rate For Calcs
0.00
+15.88%
0.00
+2.59%
0.00
-9.70%
0.00
Tax Effect Of Unusual Items
6.26
+264.48%
1.72
+117.87%
-9.61
-190.56%
10.61
Net Income Including Noncontrolling Interests
213.10
+23.39%
172.70
+128.44%
75.60
+40.52%
53.80
Net Income From Continuing Operation Net Minority Interest
204.10
+27.48%
160.10
+156.16%
62.50
+33.26%
46.90
Net Income From Continuing And Discontinued Operation
204.10
+27.48%
160.10
+156.16%
62.50
+33.26%
46.90
Net Income Continuous Operations
213.10
+23.39%
172.70
+128.44%
75.60
+40.52%
53.80
Minority Interests
-9.00
+28.57%
-12.60
+3.82%
-13.10
-89.86%
-6.90
Normalized Income
190.86
+22.65%
155.62
+75.86%
88.49
+301.95%
22.01
Net Income Common Stockholders
204.10
+27.48%
160.10
+156.16%
62.50
+33.26%
46.90
Diluted EPS
6.35
+28.02%
4.96
+162.43%
1.89
+35.00%
1.40
Basic EPS
6.55
+27.18%
5.15
+164.10%
1.95
+35.42%
1.44
Basic Average Shares
31.17
+0.22%
31.10
-2.75%
31.98
-1.80%
32.57
Diluted Average Shares
32.14
-0.69%
32.36
-4.25%
33.80
+0.50%
33.63
Diluted NI Availto Com Stockholders
204.10
+27.09%
160.60
+152.12%
63.70
+35.82%
46.90
Average Dilution Earnings
0.00
-100.00%
0.50
-58.33%
1.20
Earnings From Equity Interest Net Of Tax
20.10
+82.73%
11.00
+19.57%
9.20
-18.58%
11.30
Gain On Sale Of PPE
15.90
+21.37%
13.10
-24.28%
17.30
-53.49%
37.20
Rent Expense Supplemental
76.10
+3.96%
73.20
+31.89%
55.50
+13.73%
48.80
Line Item Trend 2024-08-31
Total Assets
4,254.50
Current Assets
1,708.40
Cash Cash Equivalents And Short Term Investments
351.80
Cash And Cash Equivalents
351.80
Receivables
568.90
Accounts Receivable
523.80
Gross Accounts Receivable
527.40
Allowance For Doubtful Accounts Receivable
-3.60
Taxes Receivable
45.10
Inventory
770.90
Raw Materials
532.60
Work In Process
152.00
Finished Goods
92.60
Prepaid Assets
Restricted Cash
16.80
Assets Held For Sale Current
0.30
Total Non Current Assets
2,546.10
Net PPE
2,151.00
Gross PPE
2,789.40
Accumulated Depreciation
-638.40
Properties
0.00
Land And Improvements
69.90
Buildings And Improvements
366.60
Machinery Furniture Equipment
757.20
Construction In Progress
155.40
Other Properties
1,440.30
Goodwill And Other Intangible Assets
162.30
Goodwill
128.50
Other Intangible Assets
33.80
Investments And Advances
141.80
Long Term Equity Investment
87.30
Other Investments
Non Current Deferred Assets
34.20
Non Current Deferred Taxes Assets
34.20
Other Non Current Assets
56.80
Total Liabilities Net Minority Interest
2,676.20
Current Liabilities
665.40
Payables And Accrued Expenses
665.40
Payables
370.70
Accounts Payable
370.70
Current Accrued Expenses
294.70
Current Debt And Capital Lease Obligation
351.60
Current Debt
351.60
Total Non Current Liabilities Net Minority Interest
2,010.80
Long Term Debt And Capital Lease Obligation
1,821.80
Long Term Debt
1,755.80
Long Term Capital Lease Obligation
66.00
Non Current Deferred Liabilities
189.00
Non Current Deferred Revenue
58.90
Non Current Deferred Taxes Liabilities
130.10
Other Non Current Liabilities
Preferred Securities Outside Stock Equity
Stockholders Equity
1,376.10
Common Stock Equity
1,376.10
Capital Stock
0.00
Common Stock
0.00
Preferred Stock
0.00
Share Issued
31.14
Ordinary Shares Number
31.14
Treasury Shares Number
0.00
Additional Paid In Capital
375.10
Retained Earnings
1,035.00
Gains Losses Not Affecting Retained Earnings
-34.00
Minority Interest
202.20
Other Equity Adjustments
-34.00
Total Equity Gross Minority Interest
1,578.30
Total Capitalization
3,131.90
Working Capital
1,043.00
Invested Capital
3,131.90
Total Debt
1,821.80
Net Debt
1,404.00
Capital Lease Obligations
66.00
Net Tangible Assets
1,213.80
Tangible Book Value
1,213.80
Available For Sale Securities
54.50
Current Notes Payable
351.60
Inventories Adjustments Allowances
-6.30
Investmentin Financial Assets
54.50
Investmentsin Associatesat Cost
87.30
Line Item Trend 2025-08-31 2024-08-31 2023-08-31 2022-08-31
Operating Cash Flow
265.70
-19.39%
329.60
+362.92%
71.20
+147.34%
-150.40
Cash Flow From Continuing Operating Activities
265.70
-19.39%
329.60
+362.92%
71.20
+147.34%
-150.40
Net Income From Continuing Operations
213.10
+23.39%
172.70
+128.44%
75.60
+40.52%
53.80
Depreciation Amortization Depletion
121.50
+5.10%
115.60
+8.75%
106.30
+4.22%
102.00
Depreciation And Amortization
121.50
+5.10%
115.60
+8.75%
106.30
+4.22%
102.00
Other Non Cash Items
11.00
+42.86%
7.70
-36.36%
12.10
+124.07%
5.40
Stock Based Compensation
17.50
+2.34%
17.10
+41.32%
12.10
-21.94%
15.50
Asset Impairment Charge
0.00
0.00
-100.00%
46.70
0.00
Deferred Tax
42.10
+150.60%
16.80
+133.33%
7.20
-44.19%
12.90
Deferred Income Tax
42.10
+150.60%
16.80
+133.33%
7.20
-44.19%
12.90
Operating Gains Losses
-36.00
-49.38%
-24.10
+9.06%
-26.50
+28.76%
-37.20
Gain Loss On Sale Of PPE
-15.90
-21.37%
-13.10
+24.28%
-17.30
+53.49%
-37.20
Change In Working Capital
-103.50
-534.87%
23.80
+114.66%
-162.30
+46.40%
-302.80
Change In Receivables
-4.40
-169.84%
6.30
+137.06%
-17.00
+86.50%
-125.90
Changes In Account Receivables
-4.60
-150.00%
9.20
+163.01%
-14.60
+92.63%
-198.20
Change In Inventory
62.00
+24.00%
50.00
+390.70%
-17.20
+93.58%
-267.90
Change In Payables And Accrued Expense
-67.00
-5.51%
-63.50
-489.57%
16.30
-90.14%
165.30
Change In Other Working Capital
-15.90
-238.26%
11.50
-47.00%
21.70
+487.50%
-5.60
Change In Other Current Assets
-78.20
-501.03%
19.50
+111.74%
-166.10
-141.78%
-68.70
Investing Cash Flow
-203.10
+36.61%
-320.40
-14.43%
-280.00
-25.00%
-224.00
Cash Flow From Continuing Investing Activities
-203.10
+36.61%
-320.40
-14.43%
-280.00
-25.00%
-224.00
Capital Expenditure
-280.40
+29.60%
-398.30
-10.00%
-362.10
+4.89%
-380.70
Capital Expenditure Reported
-280.40
+29.60%
-398.30
-10.00%
-362.10
+4.89%
-380.70
Net Business Purchase And Sale
0.00
+100.00%
-3.50
-52.17%
-2.30
Purchase Of Business
0.00
+100.00%
-3.50
-52.17%
-2.30
Net Other Investing Changes
77.30
-0.77%
77.90
-5.12%
82.10
-47.20%
155.50
Financing Cash Flow
-101.70
-217.98%
86.20
+213.12%
-76.20
-131.11%
244.90
Cash Flow From Continuing Financing Activities
-101.70
-217.98%
86.20
+213.12%
-76.20
-131.11%
244.90
Net Issuance Payments Of Debt
-10.40
-107.26%
143.20
+333.94%
33.00
-89.31%
308.60
Issuance Of Debt
97.00
-76.18%
407.20
+38.03%
295.00
-31.92%
433.30
Repayment Of Debt
-131.10
+44.50%
-236.20
+19.05%
-291.80
-1147.01%
-23.40
Long Term Debt Issuance
97.00
-76.18%
407.20
+38.03%
295.00
-31.92%
433.30
Long Term Debt Payments
-131.10
+44.50%
-236.20
+19.05%
-291.80
-1147.01%
-23.40
Net Long Term Debt Issuance
-34.10
-119.94%
171.00
+5243.75%
3.20
-99.22%
409.90
Net Short Term Debt Issuance
23.70
+185.25%
-27.80
-193.29%
29.80
+129.42%
-101.30
Net Common Stock Issuance
-22.70
-1646.15%
-1.30
+97.72%
-56.90
0.00
Common Stock Payments
-22.70
-1646.15%
-1.30
+97.72%
-56.90
0.00
Common Stock Dividend Paid
-39.60
-3.13%
-38.40
-6.37%
-36.10
-0.84%
-35.80
Cash Dividends Paid
-39.60
-3.13%
-38.40
-6.37%
-36.10
-0.84%
-35.80
Repurchase Of Capital Stock
-22.70
-1646.15%
-1.30
+97.72%
-56.90
0.00
Net Other Financing Charges
-29.00
-67.63%
-17.30
-6.79%
-16.20
+41.94%
-27.90
Changes In Cash
-39.10
-140.99%
95.40
+133.47%
-285.00
-120.08%
-129.50
Effect Of Exchange Rate Changes
-3.10
+89.49%
-29.50
-203.15%
28.60
+66.28%
17.20
Beginning Cash Position
368.60
+21.77%
302.70
-45.86%
559.10
-16.73%
671.40
End Cash Position
326.40
-11.45%
368.60
+21.77%
302.70
-45.86%
559.10
Free Cash Flow
-14.70
+78.60%
-68.70
+76.38%
-290.90
+45.23%
-531.10
Interest Paid Supplemental Data
82.20
-4.08%
85.70
+22.43%
70.00
+55.21%
45.10
Income Tax Paid Supplemental Data
48.20
+13.15%
42.60
+85.22%
23.00
-58.18%
55.00
Dividends Received CFI
2.90
-57.35%
6.80
+94.29%
3.50
Earnings Losses From Equity Investments
-20.10
SEC Filings

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

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