Financhill
Sell
50

THRM Quote, Financials, Valuation and Earnings

Last price:
$38.96
Seasonality move :
19.07%
Day range:
$38.10 - $39.29
52-week range:
$37.95 - $62.93
Dividend yield:
0%
P/E ratio:
18.22x
P/S ratio:
0.84x
P/B ratio:
1.83x
Volume:
177.6K
Avg. volume:
234.6K
1-year change:
-25.71%
Market cap:
$1.2B
Revenue:
$1.5B
EPS (TTM):
$2.14
Period Ending 2019-12-31 2020-12-31 2021-12-31 2022-12-31 2023-12-31
Revenue $971.7M $913.1M $1B $1.2B $1.5B
Revenue Growth (YoY) -7.33% -6.03% 14.57% 15.15% 21.95%
 
Cost of Revenues $683.3M $645M $742.5M $931M $1.1B
Gross Profit $288.3M $268.1M $303.6M $273.7M $351.6M
Gross Profit Margin 29.67% 29.36% 29.02% 22.72% 23.94%
 
R&D Expenses $72.5M $68M $75.2M $85.7M $94.4M
Selling, General & Admin $118.7M $105M $109.6M $132.7M $155.6M
Other Inc / (Exp) -$33.3M -$8.9M -$2.3M -$12.6M -$32.1M
Operating Expenses $191.2M $173.1M $184.8M $218.4M $249.9M
Operating Income $97.2M $95M $118.9M $55.2M $101.7M
 
Net Interest Expenses $4.8M $4.6M $2.8M $4.3M $14.6M
EBT. Incl. Unusual Items $59.2M $81.6M $113.9M $38.4M $55M
Earnings of Discontinued Ops. -- -- -- -- --
Income Tax Expense $10.3M $21.9M $20.4M $13.9M $14.6M
Net Income to Company $48.9M $59.7M $93.4M $24.4M $40.3M
 
Minority Interest in Earnings -- -- -- -- --
Net Income to Common Excl Extra Items $48.9M $59.7M $93.4M $24.4M $40.3M
 
Basic EPS (Cont. Ops) $1.48 $1.83 $2.82 $0.74 $1.23
Diluted EPS (Cont. Ops) $1.47 $1.81 $2.79 $0.73 $1.22
Weighted Average Basic Share $33.1M $32.7M $33.1M $33.1M $32.8M
Weighted Average Diluted Share $33.3M $33M $33.5M $33.5M $33.1M
 
EBITDA $108.2M $127.2M $155.4M $87.1M $120.5M
EBIT $63.9M $86.1M $116.6M $42.7M $69.6M
 
Revenue (Reported) $971.7M $913.1M $1B $1.2B $1.5B
Operating Income (Reported) $97.2M $95M $118.9M $55.2M $101.7M
Operating Income (Adjusted) $63.9M $86.1M $116.6M $42.7M $69.6M
Period Ending 2020-09-30 2021-09-30 2022-09-30 2023-09-30 2024-09-30
Revenue $259.5M $243.4M $333M $366.2M $371.5M
Revenue Growth (YoY) 8.12% -6.23% 36.81% 9.98% 1.45%
 
Cost of Revenues $176.9M $174M $252.6M $280M $276.6M
Gross Profit $82.6M $69.4M $80.4M $86.2M $94.9M
Gross Profit Margin 31.83% 28.51% 24.13% 23.54% 25.54%
 
R&D Expenses $18.1M $20.6M $22.7M $23.2M $23M
Selling, General & Admin $25.7M $27.3M $34.9M $38.2M $36.9M
Other Inc / (Exp) -$3.8M -$606K -$7.9M $1.3M -$10.9M
Operating Expenses $43.8M $47.9M $57.5M $61.4M $59.9M
Operating Income $38.8M $21.5M $22.8M $24.8M $35M
 
Net Interest Expenses $1.3M $515K -- $3.4M $4.7M
EBT. Incl. Unusual Items $33.7M $20.3M $15.6M $22.8M $19.4M
Earnings of Discontinued Ops. -- -- -- -- --
Income Tax Expense $9.6M $4.6M $5.8M $6.9M $3.4M
Net Income to Company $24.1M $15.7M $9.8M $15.8M $16M
 
Minority Interest in Earnings -- -- -- -- --
Net Income to Common Excl Extra Items $24.1M $15.7M $9.8M $15.8M $16M
 
Basic EPS (Cont. Ops) $0.74 $0.47 $0.30 $0.48 $0.51
Diluted EPS (Cont. Ops) $0.73 $0.47 $0.29 $0.48 $0.51
Weighted Average Basic Share $32.6M $33.2M $33.2M $32.9M $31.2M
Weighted Average Diluted Share $33M $33.6M $33.5M $33.2M $31.4M
 
EBITDA $45.3M $31.3M $34.7M $38.6M $37.5M
EBIT $35M $21.5M $22.8M $26.1M $24.1M
 
Revenue (Reported) $259.5M $243.4M $333M $366.2M $371.5M
Operating Income (Reported) $38.8M $21.5M $22.8M $24.8M $35M
Operating Income (Adjusted) $35M $21.5M $22.8M $26.1M $24.1M
Period Ending 2020-09-30 2021-09-30 2022-09-30 2023-09-30 2024-09-30
Revenue $854.6M $1.1B $1.1B $1.4B $1.5B
Revenue Growth (YoY) -- -- -- -- --
 
Cost of Revenues $613.6M $757.8M $838.4M $1.1B $1.1B
Gross Profit $241M $329M $271.2M $325.1M $376.6M
Gross Profit Margin -- -- -- -- --
 
R&D Expenses $66.7M $73.3M $81.2M $96.3M $89M
Selling, General & Admin $100.5M $114.7M $122.6M $150.3M $158.9M
Other Inc / (Exp) -$15.7M -$5.6M -$404K -$32.7M -$28.2M
Operating Expenses $167.1M $188M $203.8M $246.6M $247.9M
Operating Income $73.9M $141M $67.4M $78.6M $128.7M
 
Net Interest Expenses $4.4M $3.4M $1.9M $12.5M $17.2M
EBT. Incl. Unusual Items $53.8M $132M $65.2M $33.5M $83.4M
Earnings of Discontinued Ops. -- -- -- -- --
Income Tax Expense $6.3M $24.6M $16.5M $15.4M $15.7M
Net Income to Company $47.5M $107.4M $48.7M $18.1M $67.7M
 
Minority Interest in Earnings -- -- -- -- --
Net Income to Common Excl Extra Items $47.5M $107.4M $48.7M $18.1M $67.7M
 
Basic EPS (Cont. Ops) $1.10 $3.26 $1.48 $0.54 $2.15
Diluted EPS (Cont. Ops) $1.09 $3.22 $1.45 $0.54 $2.14
Weighted Average Basic Share -- -- -- -- --
Weighted Average Diluted Share -- -- -- -- --
 
EBITDA $99.9M $175.7M $111.5M $97M $153M
EBIT $58.2M $136M $71.7M $44.5M $100.5M
 
Revenue (Reported) $854.6M $1.1B $1.1B $1.4B $1.5B
Operating Income (Reported) $73.9M $141M $67.4M $78.6M $128.7M
Operating Income (Adjusted) $58.2M $136M $71.7M $44.5M $100.5M
Period Ending 2020-09-30 2021-09-30 2022-09-30 2023-09-30 2024-09-30
Revenue $624.2M $797.9M $861.3M $1.1B $1.1B
Revenue Growth (YoY) -- -- -- -- --
 
Cost of Revenues $448.8M $561.7M $657.5M $846.8M $822.9M
Gross Profit $175.4M $236.3M $203.8M $255.3M $280.3M
Gross Profit Margin -- -- -- -- --
 
R&D Expenses $51.2M $56.4M $62.4M $73M $67.6M
Selling, General & Admin $73.5M $83.1M $96.1M $113.7M $117M
Other Inc / (Exp) -$6.5M -$3.2M -$1.4M -$21.5M -$17.6M
Operating Expenses $124.6M $139.5M $158.5M $186.7M $184.6M
Operating Income $50.8M $96.8M $45.3M $68.7M $95.7M
 
Net Interest Expenses $3.4M $2.2M $2M $9.4M $12M
EBT. Incl. Unusual Items $40.9M $91.3M $42.6M $37.7M $66.2M
Earnings of Discontinued Ops. -- -- -- -- --
Income Tax Expense $15.2M $18M $14M $15.5M $16.5M
Net Income to Company $25.7M $73.4M $28.6M $22.3M $49.6M
 
Minority Interest in Earnings -- -- -- -- --
Net Income to Common Excl Extra Items $25.7M $73.4M $28.6M $22.3M $49.6M
 
Basic EPS (Cont. Ops) $0.78 $2.22 $0.87 $0.67 $1.58
Diluted EPS (Cont. Ops) $0.77 $2.20 $0.85 $0.67 $1.58
Weighted Average Basic Share $97.9M $99.2M $99.3M $99.1M $94.3M
Weighted Average Diluted Share $98.4M $100.5M $100.3M $99.6M $94.8M
 
EBITDA $75.1M $123.6M $82.3M $85.7M $118.2M
EBIT $44.3M $94.1M $51.9M $47.2M $78.1M
 
Revenue (Reported) $624.2M $797.9M $861.3M $1.1B $1.1B
Operating Income (Reported) $50.8M $96.8M $45.3M $68.7M $95.7M
Operating Income (Adjusted) $44.3M $94.1M $51.9M $47.2M $78.1M
Period Ending 2019-12-31 2020-12-31 2021-12-31 2022-12-31 2023-12-31
Cash and Equivalents $50.4M $268.3M $190.6M $153.9M $149.7M
Short Term Investments -- -- -- -- --
Accounts Receivable, Net $159.7M $211.7M $183M $247.1M $253.6M
Inventory $118.5M $122.4M $159.5M $218.2M $205.9M
Prepaid Expenses $7M $3.9M $3.4M $6.2M $7.9M
Other Current Assets $8.7M $7.5M $5.4M $19.1M $21.1M
Total Current Assets $373.9M $643.6M $565.8M $683.9M $687.6M
 
Property Plant And Equipment $172.2M $183.2M $179.7M $274.4M $272.6M
Long-Term Investments -- -- -- -- --
Goodwill $64.6M $68M $66M $119.8M $104.1M
Other Intangibles $49.8M $46.4M $37.6M $73.9M $66.5M
Other Long-Term Assets $9.3M $7.7M $16.6M $17.5M $21.7M
Total Assets $738.8M $1B $935.3M $1.2B $1.2B
 
Accounts Payable $83M $116M $122.7M $182.2M $215.8M
Accrued Expenses $4.6M $2.4M $1.9M $2.4M $3.9M
Current Portion Of Long-Term Debt $2.5M $2.5M $2.5M $2.4M $621K
Current Portion Of Capital Lease Obligations $4.6M $6M $5.7M $7.1M $7.7M
Other Current Liabilities $32.3M $37.7M $34.4M $44.9M $34.4M
Total Current Liabilities $156.7M $206M $213.1M $285.6M $325M
 
Long-Term Debt $78.1M $189.9M $36.3M $232.7M $222.2M
Capital Leases -- -- -- -- --
Total Liabilities $254.7M $436.5M $281.5M $567M $589.6M
 
Common Stock $102.5M $121.1M $118.6M $122.7M $50.5M
Other Common Equity Adj -$42.4M -$15M -$36.9M -$46.5M -$30.2M
Common Equity $484.1M $586.3M $653.8M $672.3M $644.7M
Total Preferred Equity -- -- -- -- --
Minority Interest, Total -- -- -- -- --
Total Equity $484.1M $586.3M $653.8M $672.3M $644.7M
 
Total Liabilities and Equity $738.8M $1B $935.3M $1.2B $1.2B
Cash and Short Terms $50.4M $268.3M $190.6M $153.9M $149.7M
Total Debt $80.6M $192.4M $38.8M $235.1M $222.8M
Period Ending 2020-09-30 2021-09-30 2022-09-30 2023-09-30 2024-09-30
Cash and Equivalents $226.5M $195.1M $139.2M $154.4M $150.6M
Short Term Investments -- -- -- -- --
Accounts Receivable, Net $193.2M $182.3M $248.6M $263.8M $270.9M
Inventory $114.6M $154.3M $233.9M $205.9M $233.7M
Prepaid Expenses $5.9M $5.7M $10.2M $9.5M --
Other Current Assets $7.5M $5.1M $22.5M $19.4M $81.7M
Total Current Assets $574.9M $573.7M $706M $700.6M $737M
 
Property Plant And Equipment $169.6M $180.5M $258.3M $264.1M $282.9M
Long-Term Investments -- -- -- -- --
Goodwill $66.3M $66.8M $125.3M $100.6M $104.8M
Other Intangibles $47.4M $39.1M $68.6M $66.4M $61.1M
Other Long-Term Assets $7.6M $16.6M $16.9M $20.6M $30.5M
Total Assets $921.4M $944M $1.2B $1.2B $1.3B
 
Accounts Payable $108.5M $124M $208.3M $213.9M $254.6M
Accrued Expenses $2.7M $3M $3.6M $3.2M --
Current Portion Of Long-Term Debt $2.5M $2.5M $3.5M $620K $210K
Current Portion Of Capital Lease Obligations $5.2M $5.9M $7.4M $7.6M $7M
Other Current Liabilities $38.9M $37M $46.4M $36.2M $103.6M
Total Current Liabilities $190.6M $215.4M $320.2M $312.3M $365.5M
 
Long-Term Debt $193.1M $37.5M $232M $207.3M $222.1M
Capital Leases -- -- -- -- --
Total Liabilities $409.7M $288.5M $617.2M $565.5M $637.5M
 
Common Stock $107.1M $135.4M $119.8M $97.7M $10.7M
Other Common Equity Adj -$32.5M -$32.1M -$96.1M -$56M -$35M
Common Equity -- -- -- -- --
Total Preferred Equity -- -- -- -- --
Minority Interest, Total -- -- -- -- --
Total Equity $511.8M $655.5M $624.1M $660.1M $660.7M
 
Total Liabilities and Equity $921.4M $944M $1.2B $1.2B $1.3B
Cash and Short Terms $226.5M $195.1M $139.2M $154.4M $150.6M
Total Debt $195.6M $40M $235.5M $207.9M $222.3M
Period Ending 2019-12-31 2020-12-31 2021-12-31 2022-12-31 2023-12-31
Net Income to Stockholders $48.9M $59.7M $93.4M $24.4M $40.3M
Depreciation & Amoritzation $44.2M $41.1M $38.8M $44.4M $50.9M
Stock-Based Compensation $6.3M $8.8M $14.5M $6.6M $11.6M
Change in Accounts Receivable $7.2M -$46.7M $25.1M -$44.2M -$4.2M
Change in Inventories -$3.9M -$2.6M -$42.4M -$40.3M $6.9M
Cash From Operations $118.8M $110.7M $143.1M $14.9M $119.3M
 
Capital Expenditures $23.7M $20.4M $46M $40.2M $38.4M
Cash Acquisitions $29.4M -- -$2.8M -$205.5M --
Cash From Investing $5.8M -$18.2M -$48.8M -$239.9M -$24.1M
 
Dividends Paid (Ex Special Dividend) -- -- -- -- --
Special Dividend Paid
Long-Term Debt Issued $37.8M $201.2M -- $207M $60M
Long-Term Debt Repaid -$97M -$91.4M -$153.2M -$13.3M -$72.3M
Repurchase of Common Stock -$64.7M -$9.1M -$20M -- -$91.1M
Other Financing Activities -$1.3M -$1.7M -$4.2M -$5.5M -$2.9M
Cash From Financing -$108.6M $115.5M -$169.1M $189.9M -$106.1M
 
Beginning Cash (CF) $39.6M $52.9M $268.3M $190.6M $153.9M
Foreign Exchange Rate Adjustment -- -- -- -- --
Additions / Reductions $16.1M $208M -$74.9M -$35M -$10.9M
Ending Cash (CF) $52.9M $268.3M $190.6M $153.9M $149.7M
 
Levered Free Cash Flow $95.1M $90.3M $97.1M -$25.3M $80.8M
Period Ending 2020-09-30 2021-09-30 2022-09-30 2023-09-30 2024-09-30
Net Income to Stockholders $24.1M $15.7M $9.8M $15.8M $16M
Depreciation & Amoritzation $10.3M $9.9M $11.8M $12.5M $13.4M
Stock-Based Compensation $2.7M $4.1M -$1.9M $3.4M $2.9M
Change in Accounts Receivable -$71.7M $14.5M -$24M -$8.2M -$1.9M
Change in Inventories -$647K -$16.8M -$17.8M -$5.7M -$15.5M
Cash From Operations $23.1M $32.7M $16.6M $21.4M $46.3M
 
Capital Expenditures $4.1M $11.3M $10.3M $13M $20M
Cash Acquisitions -- -$2.8M -$224.1M -- --
Cash From Investing -$4.1M -$14.1M -$232.1M -$10.2M -$8.5M
 
Dividends Paid (Ex Special Dividend) -- -- -- -- --
Special Dividend Paid -- -- -- -- --
Long-Term Debt Issued -- -- $207M -- $18M
Long-Term Debt Repaid -$5.9M -$8.3M -$10.3M -$10.2M -$18.1M
Repurchase of Common Stock -$340K -- -- -$11.1M -$19.9M
Other Financing Activities -$618K -$1.9M -$951K -$110K -$740K
Cash From Financing -$6.2M -$9M $196.7M -$21.4M -$18.8M
 
Beginning Cash (CF) $211.7M $186.9M $157.3M $168.7M $123.5M
Foreign Exchange Rate Adjustment $4.6M -$1.5M $659K -$4.2M $8.1M
Additions / Reductions $12.8M $9.7M -$18.8M -$10.1M $19M
Ending Cash (CF) $229M $195.1M $139.2M $154.4M $150.6M
 
Levered Free Cash Flow $19M $21.5M $6.4M $8.4M $26.3M
Period Ending 2020-09-30 2021-09-30 2022-09-30 2023-09-30 2024-09-30
Net Income to Stockholders $47.5M $107.4M $48.7M $18.1M $67.7M
Depreciation & Amoritzation $41.7M $39.8M $39.8M $52.5M $52.5M
Stock-Based Compensation $7.6M $14M $6.2M $11.7M $13.5M
Change in Accounts Receivable -$20.1M $12.7M -$56.8M -$8.3M -$561K
Change in Inventories $6.3M -$41.2M -$61.6M $16.6M -$24.7M
Cash From Operations $108.1M $154.5M $38.9M $82M $112.3M
 
Capital Expenditures $20.1M $42.7M $35M $41.3M $62.2M
Cash Acquisitions -$3.3M -$2.8M -$224.1M $18.6M --
Cash From Investing -$22.3M -$44.5M -$256.7M -$9M -$40.3M
 
Dividends Paid (Ex Special Dividend) -- -- -- -- --
Special Dividend Paid
Long-Term Debt Issued $209.5M -- -- -- $113M
Long-Term Debt Repaid -$115.6M -$155.7M -$12.8M -$28.9M -$98.6M
Repurchase of Common Stock -$15.3M -- -- -$31.1M -$101.6M
Other Financing Activities -- -$5.2M -$5.5M -$2.8M -$3.3M
Cash From Financing $87.5M -$142.9M $171M -$62.4M -$85.9M
 
Beginning Cash (CF) -- -- -- -- --
Foreign Exchange Rate Adjustment -- -- -- -- --
Additions / Reductions $173.2M -$32.9M -$46.8M $10.6M -$13.9M
Ending Cash (CF) -- -- -- -- --
 
Levered Free Cash Flow $88M $111.8M $4M $40.8M $50.1M
Period Ending 2020-09-30 2021-09-30 2022-09-30 2023-09-30 2024-09-30
Net Income to Stockholders $25.7M $73.4M $28.6M $22.3M $49.6M
Depreciation & Amoritzation $30.8M $29.4M $30.5M $38.5M $40.1M
Stock-Based Compensation $6.6M $11.8M $3.4M $8.5M $10.3M
Change in Accounts Receivable -$33.3M $26.2M -$55.8M -$19.8M -$16.2M
Change in Inventories $4.6M -$34M -$53.2M $3.7M -$27.8M
Cash From Operations $73.3M $117.1M $13M $80M $73.1M
 
Capital Expenditures $14.8M $37.1M $26.1M $27.2M $50.9M
Cash Acquisitions -- -$2.8M -$224.1M -- --
Cash From Investing -$13.7M -$40M -$247.8M -$16.9M -$33.1M
 
Dividends Paid (Ex Special Dividend) -- -- -- -- --
Special Dividend Paid -- -- -- -- --
Long-Term Debt Issued $201.2M -- $207M -- $53M
Long-Term Debt Repaid -$87.7M -$152M -$11.6M -$27.2M -$53.5M
Repurchase of Common Stock -$9.9M -- -- -$31.1M -$41.6M
Other Financing Activities -$618K -$4.1M -$5.4M -$2.8M -$3.2M
Cash From Financing $109.8M -$148.6M $191.6M -$60.8M -$40.6M
 
Beginning Cash (CF) $490.1M $626.2M $525.8M $489.2M $398.2M
Foreign Exchange Rate Adjustment $6.7M -$1.8M -$8.1M -$1.9M $1.6M
Additions / Reductions $169.4M -$71.4M -$43.3M $2.3M -$657K
Ending Cash (CF) $666.2M $552.9M $474.3M $489.7M $399.2M
 
Levered Free Cash Flow $58.5M $80M -$13.1M $52.9M $22.1M

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