CoverageForm 410-K10-Q8-K13D13G13F

MTRX · Matrix Service Co - 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 · MTRX

Income Statement

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Revenue$769.29M$728.21M$795.02M$707.78M$673.40M$1.10B
Cost of Revenue$729.61M$687.74M$764.20M$708.99M$640.63M$998.76M
Gross Profit$39.68M$40.47M$30.82M($1.21M)$32.77M$102.18M
R&D------
SG&A$71.17M$70.08M$68.25M$67.69M$69.76M$86.28M
Total Operating Expenses------
D&A$10.01M$11.02M$13.69M$15.25M$17.86M$19.12M
Operating Income($35.07M)($30.11M)($52.89M)($87.85M)($43.75M)($36.63M)
Interest Expense$518.0K$1.13M$2.02M$2.95M$1.56M$1.60M
Income Tax$464.0K($36.0K)($400.0K)$5.62M($12.04M)($3.57M)
Net Income($29.46M)($24.98M)($52.36M)($63.90M)($31.22M)($33.07M)
EPS - Basic($1.06)($0.91)($1.94)($2.39)($1.18)($1.24)
EPS - Diluted($1.06)($0.91)($1.94)($2.39)($1.18)($1.24)

Balance Sheet

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Cash & Equivalents$224.64M$115.61M$54.81M$52.37M$83.88M$100.04M
Accounts Receivable$154.99M$138.99M$145.76M$153.88M$148.03M$160.67M
Inventory$5.92M$8.84M$7.44M$9.97M$7.34M$6.46M
Accounts Payable$80.45M$65.63M$76.36M$74.89M$60.92M$73.09M
Current Assets$419.77M$301.59M$262.26M$287.41M$291.22M$335.16M
Total Assets$600.26M$451.35M$400.50M$440.79M$467.56M$517.31M
Current Liabilities$436.38M$265.12M$187.53M$177.78M$153.40M$175.95M
Long-term Debt------
Total Liabilities$457.54M$287.17M$219.02M$213.09M$182.02M$209.42M
Stockholders' Equity$142.72M$164.18M$181.48M$227.71M$285.54M$307.89M
Retained Earnings$4.48M$33.94M$58.92M$111.28M$175.18M$206.40M

Cash Flow

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Operating Cash Flow$117.47M$72.57M$10.25M($54.20M)($2.97M)$44.09M
Investing Cash Flow($7.45M)($945.0K)($2.54M)$35.67M($2.26M)($17.12M)
Financing Cash Flow($1.04M)($10.37M)($5.06M)$12.70M($12.32M)($16.04M)
CapEx$7.68M$6.99M$9.01M$3.35M$4.35M$18.54M
Free Cash Flow$109.79M$65.58M$1.24M($57.54M)($7.33M)$25.55M

Ratios

MetricFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Profitability
Gross margin5.2%5.6%3.9%-0.2%4.9%9.3%
Operating margin-4.6%-4.1%-6.7%-12.4%-6.5%-3.3%
EBITDA margin-3.3%-2.6%-4.9%-10.3%-3.8%-1.6%
Net margin-3.8%-3.4%-6.6%-9.0%-4.6%-3.0%
Free cash flow margin14.3%9.0%0.2%-8.1%-1.1%2.3%
FCF / Net income-3.73-2.63-0.020.900.23-0.77
R&D / Revenue------
SG&A / Revenue9.3%9.6%8.6%9.6%10.4%7.8%
Effective tax rate------
Return on assets-4.9%-5.5%-13.1%-14.5%-6.7%-6.4%
Return on equity-20.6%-15.2%-28.9%-28.1%-10.9%-10.7%
Return on invested capital------
Liquidity
Current ratio0.961.141.401.621.901.90
Quick ratio0.951.101.361.561.851.87
Cash ratio0.510.440.290.290.550.57
Leverage
Debt / Equity------
Debt / Assets------
Debt / EBITDA------
Interest coverage-67.7x-26.6x-26.1x-29.8x-28.1x-22.9x
Equity multiplier4.212.752.211.941.641.68
Liabilities / Assets0.760.640.550.480.390.40
Efficiency
Asset turnover1.281.611.991.611.442.13
Inventory turnover123.3177.81102.7671.0887.26154.61
Days sales outstanding74d70d67d79d80d53d
Days inventory outstanding3d5d4d5d4d2d
Days payable outstanding40d35d36d39d35d27d
Cash conversion cycle36d40d34d46d50d29d
Valuation
P / E------
P / B2.6x1.7x0.9x0.6x1.0x0.8x
P / S0.5x0.4x0.2x0.2x0.4x0.2x
EV / EBITDA------
Growth
Revenue growth (YoY)5.6%-8.4%12.3%5.1%-38.8%-22.3%
Revenue CAGR (3y)2.8%2.6%-10.3%-20.7%-14.9%-2.8%
Revenue CAGR (5y)-6.9%-12.5%-6.1%-10.0%-12.5%-3.9%
Gross profit growth (YoY)-2.0%31.3%---67.9%-22.6%
Operating income growth (YoY)-16.5%43.1%39.8%-100.8%-19.4%-
Net income growth (YoY)-18.0%52.3%18.1%-104.7%5.6%-
EPS growth (YoY)-16.5%53.1%18.8%-102.5%4.8%-
EPS CAGR (3y)------
EPS CAGR (5y)------
FCF growth (YoY)67.4%5197.0%--685.5%-17.0%
FCF CAGR (5y)33.9%24.6%-54.8%--24.1%
Book value growth (YoY)-13.1%-9.5%-20.3%-20.3%-7.3%-12.5%

Sales by segment

From XBRL dimensional facts in the 10-K period ending 2025-06-30.

Business segments

$769.29M total
Storage And Terminal Solutions Segment$365.89M · 47.6%
Utility And Power Infrastructure Segment$248.69M · 32.3%
Process And Industrial Facilities Segment$154.70M · 20.1%

Geographic

$769.29M total
US$719.39M · 93.5%
CA$41.23M · 5.4%
Otherinternational$8.67M · 1.1%

Stability scores

Altman Z′

FY 2025 · bankruptcy risk

1.22
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

3/9
Weak
  • 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: Construction - Special Trade Contractors

CompanyRevenue (last FY)Net marginROE
AGX$944.61M14.6%29.8%
AMRC---
BLD$5.41B9.6%22.5%
LMB$646.80M6.0%20.0%
CSLR$300.00M-15.1%50.3%

Comparing MATRIX SERVICE CO against the 5 most active filers in the same SIC group.