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Thursday, September 17, 2026Closing data · 4:00 PM ET
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APD

Air ProductsNYSE · Industrial Gases · Materials
Previous close
286.12
Change
−0.96 / −0.33%
FinDog View
Neutral
52-Week Range ?
229.11 – 314.87
P/E (TTM) ?
Sector median 27.2
Forward P/E ?
21.4
Based on consensus earnings for the next 12 months
Market Cap
$63.9B
1M
−5.64%
S&P 500 −0.63% over same period
Volume / Avg Volume
1.5M / 950K
1.56× average
Latest earnings analysisFY2026 Q3Reported 2026-07-30

Air Products Q3 FY26: $9.92/share of exits hides a $3.47 adjusted EPS beat

Air Products' fiscal 2026 third quarter looks catastrophic on a GAAP basis and healthy underneath: a $1.4408 billion net loss and a $6.47 loss per share, caused by $2.9 billion of pre-tax charges for exiting the Louisiana clean energy complex, Casa Grande hydrogen and smaller projects. Adjusted EPS of $3.47 beat the $3.3772 consensus. The real question is whether the slimmed-down project pipeline now converts into steadier cash.

Read the full analysis →
Revenue$3.16BYoY +4.60%
EPS (non-GAAP)$3.47Beatest. $3.38
Next-day move−1.77%

Price History

Closing price · USD1M6M1Y5Y
2802903003102026-082026-082026-092026-092026-09

Historical P/E

Close ÷ trailing four-quarter EPS · Period median 31.91M6M1Y5Y
25303540452025-092025-102026-052026-072026-08

Recent Earnings

Click to read the FinDog analysis
PeriodReportedRevenueEPS Actual / Est.Next-Day MoveAnalysis

Next Earnings

Date and consensus from the earnings calendar; the analysis is generated automatically after the releaseEarnings Calendar →
Report date
2026-10-29est.
in 41 days · Estimated from last year's report date; subject to company confirmation
Consensus EPS
Last quarter EPS $3.47
Avg. next-day move over the last 6 reports
±1.2%

Decision Panel

Trends · Valuation · Earnings reaction · Guidance credibility — all from company filings and market data
Valuation
A 5-year P/E range needs a longer earnings record; not yet comparable
Last 4 quarters: $0 in buybacks + $1.6B in dividends, 2.50% of market cap combined
P/E (TTM)
P/B
4.6
P/S
5.1
Dividend Yield
2.55%
Earnings Reaction
Over the last 6 reports, the stock moved ±1.2% on average on the first trading day after, rising 3 times
Most recent −1.77%
Volatility & Correlation
1-year beta 0.18 · Correlation with S&P 500 0.08Low beta
Annualized volatility 27% vs. 13% for the S&P 500
Insider Trading
View all
Last 90 days · Open-market buys and sells by officers and directors · Amounts in USD millions
No open-market buys or sells by officers or directors in the last 90 days.
Multi-Quarter Financial Trends
View all quarters
Last 12 quarters · As reported by the company
QuarterRevenue ($B)YoYGross MarginOperating Income ($B)Net Income ($B)Free Cash Flow ($B)EPS
FY2026 Q33.16+4.6%32.8%-2.10-1.440.31-6.47
FY2026 Q23.17+8.8%31.1%0.750.71-0.003.19
FY2026 Q13.10+5.8%32.1%0.730.68-0.353.04
FY2025 Q43.17−0.6%32.3%0.020.000.03
FY2025 Q33.02+1.2%32.5%0.790.71-0.643.20
FY2025 Q22.92−0.5%29.6%-2.33-1.73-1.56-7.77
FY2025 Q12.93−2.2%31.2%0.640.62-1.312.77
FY2024 Q43.19−0.1%34.0%2.421.958.75
FY2024 Q32.99−1.6%32.8%0.740.70-0.353.13
FY2024 Q22.93−8.4%32.0%0.640.57-0.872.57
FY2024 Q13.00−5.6%31.0%0.670.61-0.822.73
FY2023 Q43.19−10.6%30.8%0.740.693.12

Peers

Largest by market cap in the sector · Latest quarterView Materials sector →
TickerCompanyMarket CapP/ERevenue YoYGross Margin1MView