PLPC
Preformed Line Products Company
393.52
1 x 392.00
2 x 396.20
bid
ask
-
17.04
4.15%
2 @ 04:00 PM
394.31 +0.79 (0.20%)
Ytd90.37%
1y144.38%
391.93
day range
414.35
139.04
52 week range
414.35
Open403.37Prev Close410.56Low391.93High414.35Mkt Cap1.92B
Vol106.55KAvg Vol129.02KEPS6.96P/E56.54Forward P/EN/A
Beta0.90Short Ratio2.48Inst. Own68.28%Dividend0.83Div Yield0.20
Ex Div Date07-01Earning07-2950-d Avg362.63200-d Avg268.731yr Est372.00
Income Statement
Total Revenue176.28M
Revenues (USD)176.28M
Cost of Revenue121.06M
Gross Profit55.22M
Operating Expenses41.50M
Research and Development Expense6.74M
Selling, General and Administrative Expense34.82M
Operating Income13.72M
Interest Expense232.00K
Income Tax Expense3.78M
Net Income10.52M
Net Income Common Stock10.52M
Net Income Common Stock (USD)10.52M
Consolidated Income10.55M
Net Income to Non-Controlling Interests25.00K
Earnings per Basic Share2.15
Earnings per Basic Share (USD)2.15
Earnings per Diluted Share2.14
Dividends per Basic Common Share0.21
Earning Before Interest & Taxes (EBIT)14.54M
Earning Before Interest & Taxes (USD)14.54M
Weighted Average Shares4.91M
Weighted Average Shares Diluted4.93M
Balance Sheet
Cash and Equivalents69.45M
Cash and Equivalents (USD)69.45M
Trade and Non-Trade Receivables130.84M
Current Assets371.39M
Property, Plant & Equipment Net234.44M
Total Assets661.83M
Debt Current8.76M
Total Debt49.01M
Current Liabilities123.59M
Debt Non-Current40.25M
Total Liabilities188.25M
Accumulated Retained Earnings (Deficit)593.87M
Accumulated Other Comprehensive Income-54.79M
Shareholders Equity473.52M
Shareholders Equity (USD)473.52M
Assets Non-Current290.44M
Total Debt (USD)49.01M
Goodwill and Intangible Assets40.19M
Inventory151.81M
Liabilities Non-Current64.66M
Trade and Non-Trade Payables56.77M
Tax Assets6.79M
Tax Liabilities8.63M
Cash Flow
Depreciation, Amortization & Accretion6.17M
Net Cash Flow from Financing-9.96M
Net Cash Flow / Change in Cash & Cash Equivalents-13.94M
Capital Expenditure-9.94M
Issuance (Purchase) of Equity Shares-8.49M
Issuance (Repayment) of Debt Securities 3.58M
Payment of Dividends & Other Cash Distributions -1.12M
Net Cash Flow from Investing-9.94M
Net Cash Flow from Operations6.05M
Effect of Exchange Rate Changes on Cash -78.00K
Share Based Compensation2.35M