Raven Industries Net Income 2006-2018 | RAVN

Raven Industries net income from 2006 to 2018. Net income can be defined as company's net profit or loss after all revenues, income items, and expenses have been accounted for.
Raven Industries Annual Net Income
(Millions of US $)
2018 $41
2017 $20
2016 $5
2015 $32
2014 $43
2013 $53
2012 $51
2011 $41
2010 $29
2009 $31
2008 $28
2007 $25
2006 $24
2005 $18
Raven Industries Quarterly Net Income
(Millions of US $)
Q3 2018 $13
Q2 2018 $14
Q1 2018 $22
Q4 2018 $8
Q3 2017 $12
Q2 2017 $8
Q1 2017 $12
Q4 2017 $4
Q3 2016 $6
Q2 2016 $4
Q1 2016 $6
Q4 2016 $2
Q3 2015 $-6
Q2 2015 $4
Q1 2015 $5
Q4 2015 $6
Q3 2014 $7
Q2 2014 $8
Q1 2014 $11
Q4 2014 $8
Q3 2013 $12
Q2 2013 $8
Q1 2013 $14
Q4 2013 $11
Q3 2012 $11
Q2 2012 $12
Q1 2012 $19
Q4 2012 $11
Q3 2011 $11
Q2 2011 $12
Q1 2011 $16
Q4 2011 $7
Q3 2010 $12
Q2 2010 $8
Q1 2010 $13
Q4 2010 $6
Q3 2009 $7
Q2 2009 $6
Q1 2009 $9
Q4 2009 $5
Q3 2008 $8
Q2 2008 $7
Q1 2008 $11
Q4 2008 $6
Q3 2007 $7
Q2 2007 $6
Q1 2007 $9
Q4 2007 $6
Q3 2006 $7
Q2 2006 $5
Q1 2006 $8
Q4 2006 $5
Q3 2005 $7
Q2 2005 $5
Q1 2005 $7
Q4 2005 $4
Sector Industry Market Cap Revenue
Multi-Sector Conglomerates Diversified Operations $1.338B $0.377B
Raven Industries, Inc. ( RAVN ) is a technology company that creates innovative solutions to great challenges. Raven is a leader in precision agriculture, high performance specialty films, and situational awareness markets thereby utilizing its strength in engineering, manufacturing, and technological innovation. Raven is comprised of three distinct business units : Raven Applied Technology, Raven Engineered Films, and Raven Aerostar. Raven is committed to being an active and responsible corporate citizen by providing strategic investments to organizations who align with business model and purpose. And the areas of focus include: quality of life, education, social need, and health/wellbeing. The company's corporate responsibility framework is constructed from five key areas of impact, which includes: Environmental Sustainability, Corporate Philanthropy, Volunteerism, Team Member Development and Training, Business Purpose, Products and Services Delivered, and Markets Served .
Stock Name Country Market Cap PE Ratio
3M (MMM) United States $114.186B 20.07
Honeywell (HON) United States $101.005B 17.16
United Technologies (UTX) United States $95.157B 16.34
Danaher (DHR) United States $70.371B 22.66
General Electric (GE) United States $61.646B 9.34
Icahn Enterprises (IEP) United States $11.526B 19.12
Carlisle (CSL) United States $5.750B 16.56
Crane (CR) United States $4.518B 13.77
ITT (ITT) United States $4.334B 16.22
Macquarie Infrastructure (MIC) United States $3.453B 18.24
Federal Signal (FSS) United States $1.239B 16.07
National Presto Industries (NPK) United States $0.848B 19.28
Griffon (GFF) United States $0.483B 13.74
Steel Partners Holdings LP (SPLP) United States $0.372B 0.00
Lydall (LDL) United States $0.334B 7.43
Special Diversified Opportunities (SDI) United States $0.220B 0.00
Lsb Industries (LXU) United States $0.186B 0.00
HC2 Holdings (HCHC) United States $0.144B 0.00
Servotronics (SVT) United States $0.028B 8.53