The Inventing Press

BIO-TECHNE Corp

Financial highlights

MetricFY 06/30/25FY 06/30/24FY 06/30/23FY 06/30/22FY 06/30/21
Income Statement
Revenue$1.2B$1.2B$1.1B$1.1B$931.0M
Cost of revenue$429.4M$389.3M$366.9M$349.1M$298.2M
Gross profit$790.3M$769.7M$769.8M$756.5M$632.9M
Selling, general & administrative$588.5M$466.4M$378.4M$372.8M$325.0M
Research and development$99.5M$96.7M$92.5M$87.1M$70.6M
Operating expenses$688.0M$563.0M$470.9M$459.9M$395.6M
Operating income$102.3M$206.7M$298.9M$296.6M$237.3M
Interest expense$8.5M$15.7M$11.2M$11.3M$14.0M
Pretax income$98.5M$185.7M$338.7M$301.4M$148.2M
Income tax expense$25.1M$17.6M$53.2M$38.3M$8.6M
Net income$73.4M$168.1M$285.3M$272.1M$140.4M
Balance Sheet
Cash and equivalents$162.2M$151.8M$180.6M$172.6M$199.1M
Current assets$608.3M$617.4M$621.5M$605.6M$510.6M
Total assets$2.6B$2.7B$2.6B$2.3B$2.3B
Current liabilities$175.8M$159.4M$128.5M$176.0M$152.3M
Stockholders' equity$1.9B$2.1B$2.0B$1.7B$1.6B
Cash Flow Statement
Cash from operations$287.6M$299.0M$254.4M$325.3M$352.2M
Depreciation and amortization$109.9M$111.7M$107.2M$101.1M$87.7M
Stock-based compensation$40.8M$38.0M$39.2M$42.2M$49.0M
Capital expenditure$31.0M$62.9M$38.2M$44.9M$44.3M
Free cash flow$256.6M$236.1M$216.1M$280.4M$307.9M
Dividends paid$50.4M$50.4M$50.3M$50.2M$49.6M
Share repurchases$275.7M$80.0M$19.6M$160.9M$43.2M
Impairments$73.3M$0$0$8.3M$0

Shares outstanding 156.6M · Free float 98.7%

Annual filing data through FY ended June 30, 2025; float as of July 11, 2026.

Coverage