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Ralliant Stock Price, News & Analysis

RAL NYSE

Company Description

Ralliant Corporation (NYSE: RAL) is a global provider of precision technologies, specializing in the design, development, manufacturing, and servicing of precision instruments and highly engineered products. The company operates through two strategic reporting segments, Test & Measurement and Sensors & Safety Systems, which together support engineers working on advanced technologies across multiple end markets. According to the company’s public disclosures, Ralliant focuses on enabling breakthrough innovation and helping bring advanced technologies to market more efficiently.

Ralliant is headquartered in Raleigh, North Carolina, and is incorporated in Delaware. Its shares trade on the New York Stock Exchange under the ticker symbol RAL. The company describes itself as having a global footprint and a workforce of approximately 7,000 employees across research and development, manufacturing, sales, distribution, service, and administrative roles. Ralliant highlights more than 150 years of operating experience across its businesses and emphasizes enduring customer relationships built on trust and product performance.

Business Segments and Focus Areas

The Test & Measurement segment provides precision instruments and what the company calls essential software and services for advanced electronics. Within this segment, Ralliant’s Tektronix business develops test and measurement platforms that support engineers working in areas such as communications, semiconductors, and other advanced electronics applications. Public announcements from Ralliant describe Tektronix as a global leader in test and measurement and note that its oscilloscopes and modular test systems are used in mission-critical customer workflows.

The Sensors & Safety Systems segment focuses on power grid monitoring solutions, defense and space technologies, and industrial sensors designed for demanding environments. Company communications indicate that this segment serves end markets including Utilities, Defense & Space, and Industrial Manufacturing. Ralliant has stated that customers in these areas are investing in grid modernization and defense programs, and that demand from these end markets has been an important driver for the segment.

End Markets and Customer Relationships

Ralliant’s businesses support engineers working in advanced technology environments. The company notes that its precision technologies are used in applications tied to utilities and power grid infrastructure, defense and space programs, power electronics, and advanced electronics such as communications and semiconductors. Ralliant emphasizes an “engineer to engineer” approach, describing how its global footprint allows technical teams to work closely with customers to solve complex engineering challenges.

Across its portfolio, Ralliant reports that it serves both Fortune 1000 companies and next generation start-up enterprises. The company positions its precision instruments and highly engineered products as essential tools in mission-critical systems, where reliability, accuracy, and consistent performance are central requirements. Ralliant also points to enduring customer trust as a key part of its long-term operating history.

Corporate Heritage and Operating Model

Ralliant highlights that its businesses collectively have more than 150 years of operating experience. The company was previously part of Fortive Corporation and completed its separation and launch as an independent, publicly traded company on the New York Stock Exchange under the ticker RAL. Ralliant’s leadership has described this separation as a milestone that allows the company to pursue a sharpened strategy focused on growth vectors aligned to secular trends in utilities, defense and space, and power electronics.

The company’s operating model is built around the Ralliant Business System, which it describes as being rooted in continuous improvement. Ralliant associates this system with operational and financial discipline, efficiency, and a culture that supports sustained performance. Public statements from management reference the Ralliant Business System as central to how the company manages its portfolio and executes its strategy.

Capital Allocation and Public Company Profile

As an independent public company, Ralliant has outlined capital allocation priorities that include organic reinvestment, return of capital to shareholders, and selective tuck-in acquisitions aligned with its growth vectors. The company has announced a share repurchase authorization and a recurring quarterly cash dividend on its common stock, indicating a stated focus on total shareholder returns. Ralliant has also reported the use of non-GAAP financial measures such as adjusted EBITDA, adjusted EPS, and free cash flow in its earnings communications, alongside GAAP results.

Ralliant’s SEC filings include current reports on Form 8-K that cover topics such as quarterly financial results and amendments to its credit agreement. One filing describes an amendment that adjusted certain pricing terms and undrawn commitments under the company’s revolving credit facility and term loans. These filings provide additional detail on the company’s financial structure and its approach to managing debt and liquidity.

Role in the Technology and Electronic Components Ecosystem

Within the broader technology and electronic components landscape, Ralliant positions itself around mission-critical precision technologies rather than commodity components. Its Test & Measurement segment, through brands such as Tektronix, focuses on measurement and analysis tools that support the development and validation of advanced electronics. The Sensors & Safety Systems segment centers on monitoring, sensing, and safety technologies tied to critical infrastructure, defense and space systems, and industrial environments.

Across these activities, Ralliant emphasizes that its products and services are designed to help engineers accelerate innovation and bring advanced technologies to market faster and more efficiently. The company’s communications consistently link its precision technologies to customer needs in areas such as grid modernization, defense and space programs, and power electronics.

Ralliant Stock (RAL) on the NYSE

Ralliant’s common stock trades on the New York Stock Exchange under the symbol RAL. The company has described its early periods as an independent public company as focused on executing its strategy, managing costs, and supporting growth in its core segments. Investors following RAL typically review the company’s earnings releases, Form 10-Q filings, and Form 8-K current reports for information on segment performance, cash flow, capital allocation actions, and material financing arrangements.

Because Ralliant uses both GAAP and non-GAAP financial metrics in its public communications, readers of its financial information are directed by the company to reconciliations and explanations provided in its earnings materials. These materials are referenced in its SEC filings and press releases and are intended to give additional context on how management evaluates performance.

Key Characteristics of Ralliant

  • Global provider of precision technologies focused on precision instruments and highly engineered products.
  • Two primary segments: Test & Measurement and Sensors & Safety Systems.
  • Headquartered in Raleigh, North Carolina, and incorporated in Delaware.
  • NYSE-listed under the ticker symbol RAL.
  • Portfolio with more than 150 years of operating experience across its businesses.
  • Approximately 7,000 employees across technical, operational, and administrative functions.
  • Emphasis on mission-critical applications in utilities, defense and space, industrial manufacturing, and advanced electronics.
  • Operating model grounded in the Ralliant Business System and a culture of continuous improvement.

Frequently Asked Questions About Ralliant Corporation

Stock Performance

$—
0.00%
0.00
Last updated:
-5.36%
Performance 1 year

Insider Radar

Net Buyers
90-Day Summary
12,645
Shares Bought
0
Shares Sold
6
Transactions
Most Recent Transaction
MITCHELL KATE (Director) bought 2,350 shares @ $42.48 on Feb 10, 2026
Based on SEC Form 4 filings over the last 90 days.

Financial Highlights

$2.1B
Revenue (TTM)
-$1.2B
Net Income (TTM)
$397.6M
Operating Cash Flow

Upcoming Events

MAR
09
March 9, 2026 Financial

Dividend record date

Shareholders of record at close on this date eligible for $0.05/share dividend payable 2026-03-23
MAR
23
March 23, 2026 Financial

Dividend payable

Quarterly cash dividend $0.05 per share payable to holders of record on 2026-03-09

Short Interest History

Last 12 Months
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Short interest in Ralliant (RAL) currently stands at 2.8 million shares, down 0.9% from the previous reporting period, representing 2.4% of the float. Over the past 12 months, short interest has increased by 107.9%. This relatively low short interest suggests limited bearish sentiment.

Days to Cover History

Last 12 Months
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Days to cover for Ralliant (RAL) currently stands at 2.2 days, up 14.6% from the previous period. This days-to-cover ratio represents a balanced liquidity scenario for short positions. The days to cover has increased 120% over the past year, indicating either rising short interest or declining trading volume. The ratio has shown significant volatility over the period, ranging from 1.0 to 2.2 days.

Frequently Asked Questions

What is the current stock price of Ralliant (RAL)?

The current stock price of Ralliant (RAL) is $45.89 as of February 27, 2026.

What is the market cap of Ralliant (RAL)?

The market cap of Ralliant (RAL) is approximately 5.3B. Learn more about what market capitalization means .

What is the revenue (TTM) of Ralliant (RAL) stock?

The trailing twelve months (TTM) revenue of Ralliant (RAL) is $2.1B.

What is the net income of Ralliant (RAL)?

The trailing twelve months (TTM) net income of Ralliant (RAL) is -$1.2B.

What is the earnings per share (EPS) of Ralliant (RAL)?

The diluted earnings per share (EPS) of Ralliant (RAL) is $-10.84 on a trailing twelve months (TTM) basis. Learn more about EPS .

What is the operating cash flow of Ralliant (RAL)?

The operating cash flow of Ralliant (RAL) is $397.6M. Learn about cash flow.

What is the profit margin of Ralliant (RAL)?

The net profit margin of Ralliant (RAL) is -59.1%. Learn about profit margins.

What is the operating margin of Ralliant (RAL)?

The operating profit margin of Ralliant (RAL) is -57.2%. Learn about operating margins.

What is the gross margin of Ralliant (RAL)?

The gross profit margin of Ralliant (RAL) is 50.3%. Learn about gross margins.

What is the current ratio of Ralliant (RAL)?

The current ratio of Ralliant (RAL) is 0.84, indicating the company's ability to pay short-term obligations. Learn about liquidity ratios.

What is the gross profit of Ralliant (RAL)?

The gross profit of Ralliant (RAL) is $1.0B on a trailing twelve months (TTM) basis.

What is the operating income of Ralliant (RAL)?

The operating income of Ralliant (RAL) is -$1.2B. Learn about operating income.

What does Ralliant Corporation do?

Ralliant Corporation is a global provider of precision technologies that specializes in designing, developing, manufacturing and servicing precision instruments and highly engineered products. Its businesses support engineers working on advanced technologies and mission-critical systems.

How is Ralliant’s business organized?

Ralliant operates through two strategic reporting segments: Test & Measurement and Sensors & Safety Systems. Test & Measurement focuses on precision instruments and essential software and services for advanced electronics, while Sensors & Safety Systems centers on power grid monitoring solutions, defense and space technologies, and industrial sensors for demanding environments.

In which industries does Ralliant operate?

Ralliant’s technologies are used in end markets that include utilities and power grid infrastructure, defense and space programs, industrial manufacturing, and advanced electronics such as communications and semiconductors. The company highlights growth vectors aligned with utilities, defense & space, and power electronics.

Where is Ralliant Corporation headquartered?

Ralliant Corporation is headquartered in Raleigh, North Carolina. The company also notes that it has a global footprint supporting customers worldwide.

On which exchange is Ralliant stock traded and what is its ticker?

Ralliant’s common stock is listed on the New York Stock Exchange under the ticker symbol RAL.

What is the Ralliant Business System?

The Ralliant Business System is the company’s operating model, which it describes as being rooted in continuous improvement. Ralliant associates this system with operational and financial discipline, efficiency, and a culture that supports sustained performance across its businesses.

How did Ralliant become an independent public company?

Ralliant completed its separation from Fortive Corporation and launched as an independent, publicly traded company on the New York Stock Exchange under the ticker RAL. The company has described this separation as an important milestone that enables it to pursue a sharpened strategy focused on its chosen growth vectors.

What are Ralliant’s main growth vectors?

Ralliant has identified growth vectors aligned to secular trends in utilities, defense & space, and power electronics. The company links its precision technologies and product development efforts to customer investments in grid modernization, defense programs, and advanced power electronics applications.

What types of customers does Ralliant serve?

Ralliant reports that it serves both Fortune 1000 companies and next generation start-up enterprises. Its businesses emphasize an “engineer to engineer” approach, working closely with customers on complex engineering challenges in mission-critical applications.

How does Ralliant describe its capital allocation priorities?

Ralliant has stated that its capital allocation priorities include organic reinvestment in its businesses, returning capital to shareholders through mechanisms such as dividends and share repurchases, and the selective execution of tuck-in acquisitions aligned with its growth vectors.