PLPC

PREFORMED LINE PRODUCTS CO

Nasdaq · CIK 80035

Last close419.45
Daily change+12.42 (3.05%)
10 Years gain+931.34%
Dividends TTM0.84 (+5.00%)
Dividend yield0.21%

Fundamental Analysis

PLPC · STANDARD

SIC 1623 · Water, Sewer, Pipeline, Comm & Power Line Construction · Fiscal year end 1231

Screener
Fundamental
67.9
Momentum
58.5
Acceleration
61.5
Confidence
91.0
Annual Revenue17
Quarterly Revenue70
Annual CFO15
Balance SheetAvailable
RankingEligible

Score Breakdown

Growth12.1 / 25
Quality15.6 / 25
Capital Efficiency13.0 / 20
Balance Sheet14.7 / 15
Shareholder Economics9.0 / 10
Forward Indicators0.0 / 5

Signals

Gross margin expansionGross margin improved by 0.3093 percentage points.
Operating leverageOperating margin improved by 1.694 percentage points.
ROIC expansionROIC improved by 3.2115 percentage points.
Net debt reductionNet debt declined versus the comparison period.
Share count reductionDiluted share count declined 3.1515%.
Strong operating leverageOperating income is growing faster than revenue while operating margin expands.

Key Metrics

Revenue Growth TTM28.08%OK
Revenue CAGR 3Y1.66%OK
Gross Margin32.1%OK
Operating Margin9.76%OK
FCF Marginn/aMISSING
FCF Growthn/aINSUFFICIENT_HISTORY
ROIC12.41%OK
Incremental Operating Margin 3Y11.48%OK
Net Debt / CFOn/aNOT_MEANINGFUL
Diluted Share Growth 1Y-3.15%OK
SBC / Revenuen/aMISSING
SBC / FCFn/aNOT_MEANINGFUL

Financial History

PeriodRevenueGross ProfitOperating IncomeCFOFCFGross MarginOp MarginFCF MarginROICShares
2025 FY Dec 31, 2025$669.34M$208.54M$55.14M$73.47M$33.34M31.16%8.24%4.98%10.46%4.94M
2025 FY Dec 31, 2024$593.71M$189.81M$50.76M$67.48M$52.83M31.97%8.55%8.9%9.23%4.95M
2025 FY Dec 31, 2023$669.68M$234.85M$84.15M$107.64M$72.31M35.07%12.57%10.8%15.97%5M
2024 FY Dec 31, 2022$637.02M$215.18M$69.36M$26.15M-$14.45M33.78%10.89%-2.27%14.31%5M
2023 FY Dec 31, 2021$517.42M$166.24M$47.55M$33.60M$15.21M32.13%9.19%2.94%11.42%4.97M

Formula Trace

MetricValueFormulaStatusSource
Revenue TTM$736.65Msum latest 4 fiscal quarters RevenueOK0000080035-26-000030, 0000080035-25-000022
Revenue Growth TTM28.08%Revenue_TTM / Revenue_TTM_1Y_ago - 1OK0000080035-26-000030, 0000080035-25-000022
Revenue CAGR 3Y1.66%(Revenue_current / Revenue_3Y_ago)^(1/3) - 1OK0000080035-26-000007
Revenue CAGR 5Y7.49%(Revenue_current / Revenue_5Y_ago)^(1/5) - 1OK0000080035-26-000007
Gross Profit CAGR 3Y-1.04%(GrossProfit_current / GrossProfit_3Y_ago)^(1/3) - 1OK0000080035-26-000007
Operating Income Growth54.99%OperatingIncome_current / OperatingIncome_prior_year - 1OK0000080035-26-000030, 0000080035-25-000022
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 Margin32.1%Gross Profit / RevenueOK0000080035-26-000030, 0000080035-25-000022
Operating Margin9.76%Operating Income / RevenueOK0000080035-26-000030, 0000080035-25-000022
ROIC12.41%NOPAT / Average Invested CapitalOK0000080035-26-000030, 0000080035-25-000022
Net Debt / CFOn/aNet Debt / CFONOT_MEANINGFUL0000080035-26-000030
Current Ratio2.99xCurrent Assets / Current LiabilitiesOKderived
Cash / Debt1.86x(Cash + Short-term Investments) / Total DebtOK0000080035-26-000030
Revenue per Diluted Share$153.66Revenue / Diluted SharesOK0000080035-26-000030, 0000080035-25-000022