NASDAQ: ITRI

ITRON, INC.

CIK 0000780571 · SIC 3825 · Instruments for Measuring

Large Revenue $2.4B Assets $4.0B as of Aug 25, 2026

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10-Q Filed Jul 28, 2026 · Period ending Jun 30, 2026

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8-K Filed Jul 28, 2026 · Period ending Jul 28, 2026

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8-K Filed May 8, 2026 · Period ending May 6, 2026

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10-Q Filed Apr 28, 2026 · Period ending Mar 31, 2026

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8-K Filed Apr 28, 2026 · Period ending Apr 28, 2026

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10-K Filed Feb 17, 2026 · Period ending Dec 31, 2025

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10-K Filed Feb 25, 2025 · Period ending Dec 31, 2024

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424B5 Filed Mar 12, 2021

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424B5 Filed Mar 8, 2021

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Latest financial statements

From 10-Q filed Jul 28, 2026 (period ending Jun 30, 2026). As printed on the EDGAR/iXBRL face — not generated by the model.

As filed

Consolidated Statements of Operations (Unaudited)

In thousands, except per share data

Description Three months ended June 30, 2026 Three months ended June 30, 2025 Six months ended June 30, 2026 Six months ended June 30, 2025
Revenues
Product revenues 453,462 517,184 931,263 1,040,325
Service revenues 109,440 89,577 218,621 173,587
Total revenues 562,902 606,761 1,149,884 1,213,912
Cost of revenues
Product cost of revenues 280,692 337,394 580,901 683,836
Service cost of revenues 51,570 45,749 102,024 89,239
Total cost of revenues 332,262 383,143 682,925 773,075
Gross profit 230,640 223,618 466,959 440,837
Operating expenses
Sales, general and administrative 89,722 87,615 195,079 174,526
Research and development 56,141 53,810 111,140 103,900
Amortization of intangible assets 8,478 4,543 16,650 9,022
Restructuring 233 1,237 447 684
Loss on sale of business 79
Total operating expenses 154,574 147,205 323,316 288,211
Operating income 76,066 76,413 143,643 152,626
Other income (expense)
Interest income 6,253 12,303 11,913 24,013
Interest expense (5,768) (5,648) (11,577) (11,241)
Other income (expense), net 3,655 414 3,422 363
Total other income (expense) 4,140 7,069 3,758 13,135
Income before income taxes 80,206 83,482 147,401 165,761
Income tax provision (26,733) (14,730) (40,342) (31,659)
Net income 53,473 68,752 107,059 134,102
Net income attributable to noncontrolling interests 201 412 328 288
Net income attributable to Itron, Inc. 53,272 68,340 106,731 133,814
Net income per common share Basic 1.21 1.50 2.40 2.94
Net income per common share Diluted 1.19 1.47 2.37 2.89
Weighted average common shares outstanding Basic 44,095 45,633 44,412 45,486
Weighted average common shares outstanding Diluted 44,608 46,380 45,038 46,276

Consolidated Balance Sheets (Unaudited)

In thousands

Description June 30, 2026 December 31, 2025
ASSETS
Current assets
Cash and cash equivalents 745,229 1,020,397
Accounts receivable, net 351,109 367,794
Inventories 258,727 242,886
Other current assets 194,456 191,241
Total current assets 1,549,521 1,822,318
Property, plant, and equipment, net 121,590 112,193
Deferred tax assets, net 271,513 265,183
Other long-term assets 60,694 63,352
Operating lease right-of-use assets, net 33,359 29,341
Intangible assets, net 266,076 83,337
Goodwill 1,690,791 1,344,983
Total assets 3,993,544 3,720,707
LIABILITIES AND EQUITY
Current liabilities
Accounts payable 146,726 156,288
Other current liabilities 55,135 58,864
Wages and benefits payable 96,649 122,245
Taxes payable 24,746 16,618
Current portion of debt, net 459,522
Current portion of warranty 10,871 10,868
Unearned revenue 230,098 187,822
Total current liabilities 564,225 1,012,227
Long-term debt, net 1,575,242 788,805
Long-term warranty 7,078 7,350
Pension benefit obligation 59,874 61,998
Deferred tax liabilities, net 1,387 623
Operating lease liabilities 26,092 19,623
Other long-term obligations 121,519 91,885
Total liabilities 2,355,417 1,982,511
Equity
Preferred stock, no par value, 10,000 shares authorized, no shares issued or outstanding
Common stock, no par value, 150,000 shares authorized, 43,774 and 44,929 shares issued and outstanding 1,472,138 1,661,350
Accumulated other comprehensive loss, net (74,421) (56,505)
Retained earnings 218,482 111,751
Total Itron, Inc. shareholders' equity 1,616,199 1,716,596
Noncontrolling interests 21,928 21,600
Total equity 1,638,127 1,738,196
Total liabilities and equity 3,993,544 3,720,707

Consolidated Statements of Cash Flows (Unaudited)

In thousands

Description Six months ended June 30, 2026 Six months ended June 30, 2025
Operating activities
Net income 107,059 134,102
Adjustments to reconcile net income to net cash provided by operating activities:
Depreciation and amortization of intangible assets 37,162 24,182
Non-cash operating lease expense 6,576 5,843
Stock-based compensation 32,316 33,396
Amortization of prepaid debt fees 3,791 3,581
Deferred taxes, net (18,684) (9,664)
Loss on sale of business 79
Restructuring, non-cash 462 (25)
Other adjustments, net (3,538) (354)
Changes in operating assets and liabilities, net of acquisition and sale of business:
Accounts receivable 23,280 18,789
Inventories (17,956) (7,413)
Other current assets (5,295) 6,409
Other long-term assets 3,117 3,479
Accounts payable, other current liabilities, and taxes payable (9,259) (31,868)
Wages and benefits payable (28,092) (34,884)
Unearned revenue 50,859 46,431
Warranty (243) (1,876)
Restructuring (6,921) (10,252)
Other operating, net (1,042) (11,153)
Net cash provided by operating activities 173,592 168,802
Investing activities
Acquisitions of property, plant, and equipment (13,132) (10,656)
Business acquisitions, net of cash and cash equivalents acquired (515,055)
Other investing, net 3,088 5
Net cash used in investing activities (525,099) (10,651)
Financing activities
Proceeds from borrowings 805,000
Payments on debt (460,000)
Issuance of common stock 1,969 5,436
Payments on call spread for convertible offering (92,817)
Repurchase of common stock (152,234)
Prepaid debt fees (21,525) (178)
Other financing, net (514) (507)
Net cash provided by financing activities 79,879 4,751
Effect of foreign exchange rate changes on cash and cash equivalents (3,540) 10,118
Increase (decrease) in cash and cash equivalents (275,168) 173,020
Cash and cash equivalents at beginning of period 1,020,397 1,051,237
Cash and cash equivalents at end of period 745,229 1,224,257
Supplemental disclosure of cash flow information:
Cash paid during the period for:
Income taxes, net 45,164 45,869
Interest 6,264 6,944
Non-cash operating, investing and financing activities:
Deferred tax effect of call spread offering 22,444

Amounts as printed on the EDGAR/iXBRL face — In thousands, except per share data; In thousands. Labels, columns, and figures are the filing face, not a GAAP stencil. Interactive statements & notes on EDGAR ↗