Sectors

AOS
A. O. Smith Corporation
56.52
1 x 56.60
1 x 56.73
bid
ask
-
1.45
2.51%
10:13 AM
timesize
Ytd -15.50%
1y -18.59%
56.42
day range
57.37
56.60
52 week range
80.47
Open 56.98 Prev Close 57.97 Low 56.42 High 57.37 Mkt Cap 7.80B
Vol 229.08K Avg Vol 1.54M EPS 3.75 P/E 15.09 Forward P/E 13.64
Beta 1.22 Short Ratio 4.21 Inst. Own 106.29% Dividend 1.42 Div Yield 2.44
Ex Div Date 04-30 Earning 07-30 50-d Avg 64.38 200-d Avg 69.23 1yr Est 71.30
Earning
Date For Estimate Reported Surprise surprise %
2026-04-30 2026-03 0.94 0.85 -0.09 -9.57%
2026-01-29 2025-12 0.84 0.9 0.06 7.14%
2025-10-28 2025-09 0.89 0.94 0.05 5.62%
2025-07-24 2025-06 0.97 1.07 0.1 10.31%
2025-04-29 2025-03 0.9 0.95 0.05 5.56%
2025-01-30 2024-12 0.89 0.85 -0.04 -4.49%
Upgrade / Downgrade
Date Firm Action From To
2026-05-04 Citigroup Upgrade Neutral Neutral
2026-05-04 DA Davidson Upgrade Neutral Neutral
2026-05-01 JP Morgan Upgrade Neutral Neutral
2026-04-14 Stifel Upgrade Buy Buy
2026-04-13 Goldman Sachs Upgrade Sell Sell
2026-04-13 Citigroup Upgrade Neutral Neutral
Profile
A. O. Smith Corporation manufactures and markets residential and commercial gas and electric water heaters, boilers, heat pumps, tanks, and water treatment products in North America, China, Europe, and India. The company offers water heaters for residences, restaurants, hotels, office buildings, laundries, car washes, and small businesses; boilers for hospitals, schools, hotels, homes, apartments, and condominiums, and other large commercial buildings; and water treatment products comprising point-of-entry water softeners, well water solutions, and whole-home water filtration products, and point-of-use carbon and reverse osmosis products for residences, restaurants, hotels, and offices. It also provides commercial water treatment and filtration products; expansion tanks, commercial solar water heating systems, swimming pool and spa heaters, and related products and parts; and electric wall-hung, gas tankless, combi-boiler, and heat pump and solar water heaters. The company offers its products under the A. O. Smith, State, Lochinvar, Hague, Water-Right, Master Water, Atlantic Filter, Impact, and Water Tec brands. It distributes its products through independent wholesale plumbing distributors, as well as to retail channels consisting of hardware and home center chains, and manufacturer representative firms, as well as offers Aquasana branded products directly to consumers through e-commerce channels; and A. O. Smith branded water treatment products through dealer network and Amazon. A. O. Smith Corporation was founded in 1874 and is headquartered in Milwaukee, Wisconsin.
Insider Holder
Date Name Relation Quantity Description
2026-04-12 FISTER TODD W Director 6.36K Stock Award(Grant)
2025-02-06 HEIDEMAN ROBERT JAMES Chief Technology Officer 8.89K Conversion of Exercise of derivative security
2026-04-12 KADRI ILHAM Director 23.58K Stock Award(Grant)
2026-02-12 LAUBER CHARLES T. Chief Financial Officer 47.12K Stock Award(Grant)
2026-04-12 MAPES CHRISTOPHER L Director 18.83K Stock Award(Grant)
2026-04-12 MARTIN LOIS M Director 6.45K Stock Award(Grant)
Institution Ownership
Report Date Organization Position Value Percentage
2026-03-30 Blackrock Inc. 7.36M 426.46M 6.57%
2026-03-30 Vanguard Capital Management LLC 7.33M 425.08M 6.55%
2026-03-30 Vanguard Portfolio Management LLC 7.10M 411.51M 6.34%
2025-12-30 State Street Corporation 5.91M 342.66M 5.28%
2025-12-30 FMR, LLC 5.73M 332.06M 5.12%
2026-03-30 Invesco Ltd. 4.73M 274.14M 4.22%
Fund Ownership
Report Date Organization Position Value Percentage
2025-12-30 VANGUARD INDEX FUNDS-Vanguard Total Stock Market Index Fund 3.59M 207.95M 3.20%
2025-12-30 VANGUARD INDEX FUNDS-Vanguard 500 Index Fund 2.86M 165.61M 2.55%
2025-12-30 VANGUARD INDEX FUNDS-Vanguard Small-Cap Index Fund 2.57M 149.09M 2.30%
2026-04-29 ProShares Trust-ProShares S&P 500 Dividend Aristocrats ETF 2.52M 146.12M 2.25%
2026-04-29 Invesco Exchange-Traded Fund Trust-Invesco S&P 500 Equal Weight ETF 2.48M 143.59M 2.21%
2025-12-30 VANGUARD INDEX FUNDS-Vanguard Small-Cap Growth Index Fund 1.45M 84.17M 1.30%
Dividend
Dividend Date
0.36 2026-04-30
0.36 2026-01-30
0.36 2025-10-31
0.34 2025-07-31
0.34 2025-04-30
0.34 2025-01-31
Split
Split Date
2 : 1 2016-10-06
2 : 1 2016-09-19
2 : 1 2013-05-16
1.5 : 1 2010-11-16
1.5 : 1 1998-08-18
2 : 1 1993-08-17