Mayville Engineering Company, Inc. (MEC)

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CIK 0001766368 · NYSE · Metal Forgings & Stampings

  • Sector Manufacturing
  • Fiscal year ends Dec 31

In fiscal 2025, Mayville Engineering Company, Inc. reported revenue of $546.49M, down 6.0% from the prior year. The company ran a net loss, with a net margin of -1.5%. It held $563.64M in total assets against $322.90M in total liabilities.

Key ratios (FY2025)

-0.7%
Operating margin
-1.5%
Net margin
-3.4%
Return on equity
-6.0%
Revenue growth (YoY)
Metric (FY)202520242023202220212020201920182017
Revenue$546.49M$581.60M$588.42M$539.39M$454.83M$357.61M$519.70M$354.53M$313.33M
Cost of Revenue$492.48M$510.51M$518.72M$478.32M$403.45M$326.11M$460.99M$303.95M$278.59M
Operating Income-$3.84M$44.55M$20.19M$25.77M-$7.39M-$6.50M-$1.96M$22.17M$9.43M
Net Income-$8.11M$25.97M$7.84M$18.73M-$7.45M-$7.09M-$4.75M$17.93M$5.25M
EPS (Diluted)$-0.40$1.24$0.38$0.91$-0.36$-0.36$-0.27
Total Assets$563.64M$445.57M$496.66M$440.58M$379.47M$338.53M$363.58M$391.73M
Total Liabilities$322.90M$193.82M$266.68M$222.71M$181.20M$137.68M$162.69M$288.74M
Shareholders' Equity$240.74M$251.75M$229.98M$217.87M$198.27M$200.86M$200.90M
Cash & Equivalents$1.50M$206.0K$672.0K$127.0K$118.0K$121.0K$1.0K$3.09M
Operating Cash Flow$38.56M$89.81M$40.36M$52.43M$14.46M$36.52M$33.40M$36.72M$30.80M
Capital Expenditures$11.65M$12.10M$16.60M$58.61M$39.31M$7.79M$25.80M$17.88M$11.26M
Shares Outstanding20.47M20.97M20.70M20.68M20.83M19.90M17.45M