CoverageForm 410-K10-Q8-K13D13G13F

ECVT · Ecovyst Inc. - Financials

Annual line items from SEC XBRL filings, sourced from EDGAR's Company Facts API with fallback to the quarterly Financial Statement Data Sets. See issuer overview for Form 4 activity and 10-K signals.

Price · ECVT

Income Statement

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Revenue$723.51M$704.49M$691.12M$820.16M$611.20M$1.11B
Cost of Revenue$565.43M$502.97M$493.15M$595.53M$434.54M$834.01M
Gross Profit$158.09M$201.52M$197.97M$224.63M$176.66M$273.36M
R&D-$6.81M$7.80M$7.23M$7.50M$11.60M
SG&A$66.02M$83.88M$79.22M$85.33M$97.78M$125.29M
Total Operating Expenses$27.18M$19.55M$22.10M$34.91M$24.27M$50.99M
D&A$67.81M$89.36M$84.60M$79.16M$79.74M$151.84M
Operating Income$64.89M$98.09M$96.65M$104.39M$54.61M($162.92M)
Interest Expense$34.20M$49.43M$44.73M$37.22M$36.99M$66.98M
Income Tax$19.50M$1.63M$10.79M$24.94M$12.15M($48.12M)
Net Income($71.13M)($6.65M)$71.15M$73.70M($139.95M)($278.77M)
EPS - Basic($0.62)($0.06)$0.60$0.55($1.03)($2.06)
EPS - Diluted($0.61)($0.06)$0.60$0.55($1.02)($2.06)

Balance Sheet

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Cash & Equivalents$197.19M$146.01M$88.36M$110.92M$140.89M$135.53M
Accounts Receivable$85.31M$77.94M$81.31M$74.76M$80.80M$132.62M
Inventory$26.80M$57.13M$45.12M$44.36M$53.81M$127.44M
Accounts Payable$48.05M$43.93M$40.20M$40.02M$51.86M$112.33M
Current Assets$319.36M$303.71M$245.99M$267.70M$291.67M$428.14M
Total Assets$1.26B$1.80B$1.84B$1.88B$1.93B$3.20B
Current Liabilities$120.81M$115.13M$119.08M$129.40M$145.08M$201.34M
Long-term Debt$392.58M$852.10M$858.95M$865.87M$872.84M$1.40B
Total Liabilities$657.54M$1.10B$1.13B$1.18B$1.19B$1.92B
Stockholders' Equity$603.44M$700.46M$705.46M$707.23M$740.74M$1.28B
Retained Earnings($248.63M)($177.51M)($170.86M)($242.01M)($315.71M)($175.76M)

Cash Flow

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Operating Cash Flow$140.31M$149.89M$137.60M$186.61M$129.92M$223.60M
Investing Cash Flow$435.41M($73.45M)($65.33M)($63.02M)$835.73M$551.47M
Financing Cash Flow($524.96M)($17.84M)($93.50M)($148.19M)($964.23M)($722.82M)
CapEx$70.41M$68.95M$65.33M$58.87M$60.05M$97.14M
Free Cash Flow$69.89M$80.94M$72.26M$127.74M$69.87M$126.46M

Ratios

MetricFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Profitability
Gross margin21.8%28.6%28.6%27.4%28.9%24.7%
Operating margin9.0%13.9%14.0%12.7%8.9%-14.7%
EBITDA margin18.3%26.6%26.2%22.4%22.0%-1.0%
Net margin-9.8%-0.9%10.3%9.0%-22.9%-25.2%
Free cash flow margin9.7%11.5%10.5%15.6%11.4%11.4%
FCF / Net income-0.98-12.171.021.73-0.50-0.45
R&D / Revenue-1.0%1.1%0.9%1.2%1.0%
SG&A / Revenue9.1%11.9%11.5%10.4%16.0%11.3%
Effective tax rate--13.2%25.3%--
Return on assets-5.6%-0.4%3.9%3.9%-7.2%-8.7%
Return on equity-11.8%-0.9%10.1%10.4%-18.9%-21.8%
Return on invested capital5.1%5.0%5.4%5.0%2.7%-4.8%
Liquidity
Current ratio2.642.642.072.072.012.13
Quick ratio2.422.141.691.731.641.49
Cash ratio1.631.270.740.860.970.67
Leverage
Debt / Equity0.651.221.221.221.181.10
Debt / Assets0.310.470.470.460.450.44
Debt / EBITDA2.964.554.744.726.50-
Interest coverage1.9x2.0x2.2x2.8x1.5x-2.4x
Equity multiplier2.092.572.612.662.612.50
Liabilities / Assets0.520.610.620.620.620.60
Efficiency
Asset turnover0.570.390.380.440.320.35
Inventory turnover21.108.8010.9313.428.086.54
Days sales outstanding43d40d43d33d48d44d
Days inventory outstanding17d41d33d27d45d56d
Days payable outstanding31d32d30d25d44d49d
Cash conversion cycle29d50d47d36d50d50d
Valuation
P / E--16.3x16.1x--
P / B1.9x1.3x1.7x1.7x1.9x1.5x
P / S1.6x1.3x1.7x1.5x2.3x1.7x
EV / EBITDA10.0x8.5x10.7x10.6x15.9x-
Growth
Revenue growth (YoY)2.7%1.9%-15.7%34.2%-44.8%-29.3%
Revenue CAGR (3y)-4.1%4.8%-14.5%-19.4%-16.9%-
Revenue CAGR (5y)-8.2%-14.8%-8.3%---
Gross profit growth (YoY)-21.6%1.8%-11.9%27.2%-35.4%-30.0%
Operating income growth (YoY)-33.9%1.5%-7.4%91.2%--
Net income growth (YoY)-969.2%--3.5%-49.8%-
EPS growth (YoY)-916.7%-9.1%-50.5%-
EPS CAGR (3y)----2.3%--
EPS CAGR (5y)--6.9%---
FCF growth (YoY)-13.6%12.0%-43.4%82.8%-44.7%-9.7%
FCF CAGR (5y)-11.2%-10.4%-9.2%---
Book value growth (YoY)-13.9%-0.7%-0.2%-4.5%-42.0%-28.2%

Sales by segment

From XBRL dimensional facts in the 10-K period ending 2025-12-31.

Product / service

$723.51M total
Regeneration And Treatment Services$361.24M · 49.9%
Industrial Mining Automotive$327.94M · 45.3%
Other Services$34.34M · 4.7%

Stability scores

Altman Z′

FY 2025 · bankruptcy risk

1.06
Distress

Private-firm variant - uses book equity instead of market cap. > 2.90 safe · 1.23-2.90 grey · < 1.23 distress.

Piotroski F-score

FY 2025 · 9-point quality

6/9
Neutral
  • Net income positive
  • Operating cash flow positive
  • ROA improved YoY
  • Cash flow > net income
  • Long-term debt decreased
  • Current ratio improved
  • No share dilution
  • Gross margin improved
  • Asset turnover improved

Peer comparison

Same SIC group: Chemicals & Allied Products

CompanyRevenue (last FY)Net marginROE
FMC$3.47B-64.6%-108.1%
CC$5.81B-6.6%-154.4%
OLN$6.78B-1.5%-5.5%
NGVT$1.17B-14.3%-562.6%
IOSP$1.78B6.6%8.8%

Comparing Ecovyst Inc. against the 5 most active filers in the same SIC group.

Dividends

$0.00/share trailing 12 months

Ex-datePer share
Aug 11, 2021$3.2000
Dec 18, 2020$1.8000