DDD

3D SYSTEMS CORP

NYSE · CIK 910638

Last close3.78
Daily change+0.24 (6.78%)
10 Years gain-78.92%
Dividends TTM0
Dividend yield0.00%

Fundamental Analysis

DDD · STANDARD

SIC 7372 · Services-Prepackaged Software · Fiscal year end 1231

Screener
Fundamental
23.2
Momentum
100.0
Acceleration
100.0
Confidence
82.0
Annual Revenue17
Quarterly Revenue72
Annual CFO15
Balance SheetAvailable
RankingEligible

Score Breakdown

Growth0.0 / 25
Quality4.7 / 25
Capital Efficiency2.9 / 20
Balance Sheet13.2 / 15
Shareholder Economics2.4 / 10
Forward Indicators0.0 / 5

Signals

Operating leverageOperating margin improved by 52.6508 percentage points.
ROIC expansionROIC improved by 27.8331 percentage points.
Net debt reductionNet debt declined versus the comparison period.

Warnings

Gross margin compression · MEDIUMGross margin compressed by 2.6183 percentage points.
Heavy share dilution · HIGHDiluted share count increased 12.4609%.

Key Metrics

Revenue Growth TTM-11.2%OK
Revenue CAGR 3Y-10.41%OK
Gross Margin35.72%OK
Operating Margin-14.34%OK
FCF Marginn/aMISSING
FCF Growthn/aINSUFFICIENT_HISTORY
ROIC-14.33%OK
Incremental Operating Margin 3Yn/aNOT_MEANINGFUL
Net Debt / CFOn/aNOT_MEANINGFUL
Diluted Share Growth 1Y12.46%OK
SBC / Revenuen/aMISSING
SBC / FCFn/aNOT_MEANINGFUL

Financial History

PeriodRevenueGross ProfitOperating IncomeCFOFCFGross MarginOp MarginFCF MarginROICShares
2025 FY Dec 31, 2025$386.90M$131.05M-$96.08M-$87.83M-$97.77M33.87%-24.83%-25.27%-29.77%175.51M
2025 FY Dec 31, 2024$440.12M$164.18M-$277.40M-$44.89M-$61.01M37.3%-63.03%-13.86%-69.41%131.86M
2025 FY Dec 31, 2023$488.07M$196.42M-$406.00M-$80.70M-$107.88M40.24%-83.19%-22.1%-61.37%129.94M
2024 FY Dec 31, 2022$538.03M$214.23M-$117.02M-$70.02M-$90.93M39.82%-21.75%-16.9%-16.36%127.82M
2023 FY Dec 31, 2021$615.64M$263.78M-$33.07M$48.15M$29.36M42.85%-5.37%4.77%-7.49%126.33M

Formula Trace

MetricValueFormulaStatusSource
Revenue TTM$376.20Msum latest 4 fiscal quarters RevenueOK0001628280-26-051898, 0001628280-25-048915
Revenue Growth TTM-11.2%Revenue_TTM / Revenue_TTM_1Y_ago - 1OK0001628280-26-051898, 0001628280-25-048915
Revenue CAGR 3Y-10.41%(Revenue_current / Revenue_3Y_ago)^(1/3) - 1OK0001628280-26-015997
Revenue CAGR 5Y-7.04%(Revenue_current / Revenue_5Y_ago)^(1/5) - 1OK0001628280-26-015997
Gross Profit CAGR 3Y-15.11%(GrossProfit_current / GrossProfit_3Y_ago)^(1/3) - 1OK0001628280-26-015997
Operating Income Growthn/aOperatingIncome_current / OperatingIncome_prior_year - 1INSUFFICIENT_HISTORY0001628280-26-051898, 0001628280-25-048915
FCF Growthn/aFCF_current / FCF_prior_year - 1INSUFFICIENT_HISTORYderived
Revenue Growth Accelerationn/a0.5*(Q0-Q1)+0.3*(Q1-Q2)+0.2*(Q2-Q3)INSUFFICIENT_HISTORYderived
Gross Profit Accelerationn/a0.5*(Q0-Q1)+0.3*(Q1-Q2)+0.2*(Q2-Q3)INSUFFICIENT_HISTORYderived
Operating Income Accelerationn/a0.5*(Q0-Q1)+0.3*(Q1-Q2)+0.2*(Q2-Q3)INSUFFICIENT_HISTORYderived
FCF Accelerationn/a0.5*(Q0-Q1)+0.3*(Q1-Q2)+0.2*(Q2-Q3)INSUFFICIENT_HISTORYderived
Gross Margin35.72%Gross Profit / RevenueOK0001628280-26-051898, 0001628280-25-048915
Operating Margin-14.34%Operating Income / RevenueOK0001628280-26-051898, 0001628280-25-048915
ROIC-14.33%NOPAT / Average Invested CapitalOK0001628280-26-051898, 0001628280-25-048915
Net Debt / CFOn/aNet Debt / CFONOT_MEANINGFUL0001628280-26-051898
Current Ratio3.4xCurrent Assets / Current LiabilitiesOKderived
Cash / Debt1.4x(Cash + Short-term Investments) / Total DebtOK0001628280-26-051898
Revenue per Diluted Share$2.53Revenue / Diluted SharesOK0001628280-26-051898, 0001628280-25-048915