PREFORMED LINE PRODUCTS CO (PLPC)

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CIK 0000080035 · Nasdaq · Water, Sewer, Pipeline, Comm & Power Line Construction

  • Sector Construction
  • Incorporated OH
  • Fiscal year ends Dec 31

In fiscal 2025, PREFORMED LINE PRODUCTS CO reported revenue of $669.34M, up 12.7% from the prior year. The company was profitable, with a net margin of 5.3% and a gross margin of 31.2%.

Key ratios (FY2025)

31.2%
Gross margin
8.2%
Operating margin
5.3%
Net margin
7.4%
Return on equity
+12.7%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$669.34M$593.71M$669.68M$637.02M$517.42M$466.45M$444.86M$420.88M$378.21M$336.63M
Cost of Revenue$460.80M$403.90M$434.83M$421.84M$351.18M$312.44M$304.27M$288.65M$259.58M$227.22M
Gross Profit$208.54M$189.81M$234.85M$215.18M$166.24M$154.01M$140.59M$132.23M$118.63M$109.41M
Operating Income$55.13M$50.76M$84.15M$69.36M$47.55M$40.21M$32.63M$32.93M$26.11M$21.48M
Net Income$35.28M$37.09M$63.33M$54.40M$35.73M$29.80M$23.30M$26.58M$12.65M$15.26M
EPS (Diluted)$7.14$7.50$12.68$10.88$7.19$5.98$4.58$5.21$2.47$2.95
Total Assets$653.62M$573.88M$603.15M$568.48M$489.02M$461.09M$433.57M$358.80M$359.79M$340.94M
Shareholders' Equity$475.55M$422.32M$416.16M$358.62M$316.10M$292.07M$268.57M$249.37M$238.54M$223.54M
Cash & Equivalents$45.17M$38.93M$43.61M$44.36M$30.74M
Operating Cash Flow$73.47M$67.48M$107.64M$26.15M$33.60M$41.64M$27.22M$22.98M$33.83M$25.97M
Capital Expenditures$40.13M$14.65M$35.33M$40.60M$18.38M$24.57M$29.47M$9.53M$11.23M$24.73M
Shares Outstanding4.94M4.95M5.00M5.00M4.97M4.98M5.09M5.11M5.13M5.18M
Dividends Per Share$0.81$0.80$0.80$0.80$0.80$0.80$0.80