ATKR
Atkore Inc.
NYSE · CIK 1666138
Last close94.62
Daily change-0.15 (-0.16%)
10 Years gain+413.60%
Dividends TTM1.32 (+1.54%)
Dividend yield1.39%
Fundamental Analysis
ATKR · STANDARD
SIC 3690 · Miscellaneous Electrical Machinery, Equipment & Supplies · Fiscal year end 0930
Fundamental
27.7Momentum
16.1Acceleration
19.6Confidence
92.0Annual Revenue12
Quarterly Revenue46
Annual CFO12
Balance SheetAvailable
RankingEligible
Score Breakdown
Growth0.0 / 25
Quality3.4 / 25
Capital Efficiency2.2 / 20
Balance Sheet12.3 / 15
Shareholder Economics9.8 / 10
Forward Indicators0.0 / 5
Signals
Net debt reductionNet debt declined versus the comparison period.
Share count reductionDiluted share count declined 0.8953%.
Warnings
Receivables anomaly · MEDIUMAccounts receivable growth is materially above revenue growth.
Negative FCF · HIGHLatest free cash flow is negative.
FCF deterioration · MEDIUMFree cash flow declined 152.8049%.
Gross margin compression · MEDIUMGross margin compressed by 10.2102 percentage points.
Operating margin compression · MEDIUMOperating margin compressed by 6.7744 percentage points.
ROIC declining · MEDIUMROIC declined by 5.0323 percentage points.
Key Metrics
Revenue Growth TTM-2.08%OK
Revenue CAGR 3Y-10.03%OK
Gross Margin20.93%OK
Operating Margin5.43%OK
FCF Margin-4.13%OK
FCF Growth-152.8%OK
ROIC6.47%OK
Incremental Operating Margin 3Yn/aNOT_MEANINGFUL
Net Debt / CFO-7.03xOK
Diluted Share Growth 1Y-0.9%OK
SBC / Revenue1.09%OK
SBC / FCF-26.36%OK
Financial History
| Period | Revenue | Gross Profit | Operating Income | CFO | FCF | Gross Margin | Op Margin | FCF Margin | ROIC | Shares |
|---|---|---|---|---|---|---|---|---|---|---|
| 2025 FY Sep 30, 2025 | $2.85B | $676.09M | $23.17M | $402.76M | $295.65M | 23.72% | 0.81% | 10.37% | 1.02% | 34.04M |
| 2025 FY Sep 30, 2024 | $3.20B | $1.08B | $624.78M | $549.03M | $399.17M | 33.66% | 19.51% | 12.47% | 26.44% | 36.79M |
| 2025 FY Sep 30, 2023 | $3.52B | $1.34B | $893.49M | $807.63M | $588.75M | 38.07% | 25.39% | 16.73% | 41.73% | 39.33M |
| 2024 FY Sep 30, 2022 | $3.91B | $1.64B | $1.23B | $786.84M | $651.06M | 41.9% | 31.52% | 16.63% | 70.18% | 44.28M |
| 2023 FY Sep 30, 2021 | $2.93B | $1.13B | $798.95M | $572.90M | $508.43M | 38.44% | 27.29% | 17.36% | 61.93% | 47.31M |
Formula Trace
| Metric | Value | Formula | Status | Source |
|---|---|---|---|---|
| Revenue TTM | $2.92B | sum latest 4 fiscal quarters Revenue | OK | 0001628280-26-052084, 0001628280-26-004734 |
| Revenue Growth TTM | -2.08% | Revenue_TTM / Revenue_TTM_1Y_ago - 1 | OK | 0001628280-26-052084, 0001628280-26-004734 |
| Revenue CAGR 3Y | -10.03% | (Revenue_current / Revenue_3Y_ago)^(1/3) - 1 | OK | 0001628280-25-054049 |
| Revenue CAGR 5Y | 10.06% | (Revenue_current / Revenue_5Y_ago)^(1/5) - 1 | OK | 0001628280-25-054049 |
| Gross Profit CAGR 3Y | -25.58% | (GrossProfit_current / GrossProfit_3Y_ago)^(1/3) - 1 | OK | 0001628280-25-054049 |
| Operating Income Growth | -56.45% | OperatingIncome_current / OperatingIncome_prior_year - 1 | OK | 0001628280-26-052084, 0001628280-26-004734 |
| FCF Growth | -152.8% | FCF_current / FCF_prior_year - 1 | OK | 0001628280-26-052084, 0001628280-26-030764 |
| Revenue Growth Acceleration | n/a | 0.5*(Q0-Q1)+0.3*(Q1-Q2)+0.2*(Q2-Q3) | INSUFFICIENT_HISTORY | derived |
| Gross Profit Acceleration | n/a | 0.5*(Q0-Q1)+0.3*(Q1-Q2)+0.2*(Q2-Q3) | INSUFFICIENT_HISTORY | derived |
| Operating Income Acceleration | n/a | 0.5*(Q0-Q1)+0.3*(Q1-Q2)+0.2*(Q2-Q3) | INSUFFICIENT_HISTORY | derived |
| FCF Acceleration | n/a | 0.5*(Q0-Q1)+0.3*(Q1-Q2)+0.2*(Q2-Q3) | INSUFFICIENT_HISTORY | derived |
| Gross Margin | 20.93% | Gross Profit / Revenue | OK | 0001628280-26-052084, 0001628280-26-004734 |
| Operating Margin | 5.43% | Operating Income / Revenue | OK | 0001628280-26-052084, 0001628280-26-004734 |
| FCF Margin | -4.13% | (CFO - CapEx) / Revenue | OK | 0001628280-26-052084, 0001628280-26-030764 |
| ROIC | 6.47% | NOPAT / Average Invested Capital | OK | 0001628280-26-052084, 0001628280-26-004734 |
| Net Debt / CFO | -7.03x | Net Debt / CFO | OK | 0001628280-26-052084, 0001628280-26-030764 |
| Current Ratio | 2.73x | Current Assets / Current Liabilities | OK | derived |
| Cash / Debt | 0.46x | (Cash + Short-term Investments) / Total Debt | OK | 0001628280-26-052084 |