CoverageForm 410-K10-Q8-K13D13G13F

MTW · Manitowoc Co 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 · MTW

Income Statement

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Revenue$2.24B$2.18B$2.23B$2.03B$1.72B$1.44B
Cost of Revenue$1.84B$1.80B$1.80B$1.67B$1.41B$1.19B
Gross Profit$404.70M$375.00M$425.20M$364.50M$307.20M$254.70M
R&D$55.80M$41.10M$35.30M$33.50M$29.10M$30.60M
SG&A------
Total Operating Expenses$350.90M$323.20M$332.80M$457.50M$260.70M$216.10M
D&A$59.90M$59.80M$56.60M$60.60M$45.50M$37.20M
Operating Income$53.80M$51.80M$92.40M($93.00M)$46.50M$38.60M
Interest Expense------
Income Tax$5.20M($44.10M)$5.00M$3.40M$6.10M$17.10M
Net Income$7.20M$55.80M$39.20M($123.60M)$11.00M($19.10M)
EPS - Basic$0.20$1.58$1.12($3.51)$0.32($0.55)
EPS - Diluted$0.20$1.56$1.09($3.51)$0.31($0.55)

Balance Sheet

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Cash & Equivalents$77.30M$48.00M$34.40M$64.40M$75.40M$128.70M
Accounts Receivable$281.30M$260.30M$278.80M$266.30M$236.10M$215.10M
Inventory$683.90M$609.40M$666.50M$611.90M$576.80M$473.10M
Accounts Payable$242.30M$205.50M$254.70M$274.60M$238.80M$178.10M
Current Assets$1.10B$958.90M$1.03B$998.50M$941.80M$866.00M
Total Assets$1.82B$1.66B$1.71B$1.62B$1.78B$1.60B
Current Liabilities$491.60M$474.30M$563.30M$547.80M$521.00M$435.80M
Long-term Debt$465.20M$395.40M$373.70M$388.00M$410.30M$314.70M
Total Liabilities------
Stockholders' Equity$695.20M$640.10M$603.30M$537.80M$662.40M$643.50M
Retained Earnings$206.50M$199.30M$143.50M$104.30M$227.90M$216.90M

Cash Flow

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Operating Cash Flow$22.20M$49.20M$63.00M$76.90M$76.20M($35.10M)
Investing Cash Flow($49.50M)($40.40M)($71.80M)($58.00M)($226.30M)($25.80M)
Financing Cash Flow$54.80M$6.70M($21.40M)($29.90M)$100.90M($14.80M)
CapEx$37.50M$45.70M$77.40M$61.80M$40.40M$26.30M
Free Cash Flow($15.30M)$3.50M($14.40M)$15.10M$35.80M($61.40M)

Ratios

MetricFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Profitability
Gross margin18.1%17.2%19.1%17.9%17.9%17.6%
Operating margin2.4%2.4%4.1%-4.6%2.7%2.7%
EBITDA margin5.1%5.1%6.7%-1.6%5.3%5.3%
Net margin0.3%2.6%1.8%-6.1%0.6%-1.3%
Free cash flow margin-0.7%0.2%-0.6%0.7%2.1%-4.3%
FCF / Net income-2.130.06-0.37-0.123.253.21
R&D / Revenue2.5%1.9%1.6%1.6%1.7%2.1%
SG&A / Revenue------
Effective tax rate41.9%-376.9%11.3%-35.7%-
Return on assets0.4%3.4%2.3%-7.7%0.6%-1.2%
Return on equity1.0%8.7%6.5%-23.0%1.7%-3.0%
Return on invested capital2.7%5.0%8.4%-7.9%2.8%3.2%
Liquidity
Current ratio2.232.021.831.821.811.99
Quick ratio0.840.740.650.710.700.90
Cash ratio0.160.100.060.120.140.30
Leverage
Debt / Equity0.670.620.620.720.620.49
Debt / Assets0.260.240.220.240.230.20
Debt / EBITDA4.093.542.51-4.464.15
Interest coverage------
Equity multiplier2.622.592.833.002.682.49
Liabilities / Assets------
Efficiency
Asset turnover1.231.311.311.260.970.90
Inventory turnover2.682.962.702.732.452.51
Days sales outstanding46d44d46d48d50d54d
Days inventory outstanding136d123d135d134d149d145d
Days payable outstanding48d42d52d60d62d55d
Cash conversion cycle134d125d129d122d137d145d
Valuation
P / E59.9x5.9x15.3x-60.0x-
P / B0.6x0.5x1.0x0.6x1.0x0.7x
P / S0.2x0.1x0.3x0.2x0.4x0.3x
EV / EBITDA7.2x6.0x6.3x-10.8x8.5x
Growth
Revenue growth (YoY)2.9%-2.2%9.6%18.2%19.2%-21.3%
Revenue CAGR (3y)3.3%8.2%15.6%3.5%2.2%-3.0%
Revenue CAGR (5y)9.2%3.5%6.7%5.1%1.3%-15.9%
Gross profit growth (YoY)7.9%-11.8%16.7%18.7%20.6%-26.0%
Operating income growth (YoY)3.9%-43.9%--20.5%-64.4%
Net income growth (YoY)-87.1%42.3%----
EPS growth (YoY)-87.2%43.1%----
EPS CAGR (3y)-71.4%----
EPS CAGR (5y)-3.6%----
FCF growth (YoY)----57.8%-30.5%
FCF CAGR (5y)----21.0%--
Book value growth (YoY)8.6%6.1%12.2%-18.8%2.9%-0.4%

Sales by segment

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

Product / service

$2.24B total
New Machine Sales$1.55B · 69.2%
Non New Machine Sales$690.50M · 30.8%

Geographic

$2.24B total
US$1.15B · 51.3%
Europe$640.40M · 28.6%
Other Countries$450.70M · 20.1%

Stability scores

Piotroski F-score

FY 2025 · 9-point quality

5/9
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: Construction Machinery & Equip

CompanyRevenue (last FY)Net marginROE
CMCO$963.03M-0.5%-0.6%
CAT$67.59B13.1%41.7%
ASTE$1.41B2.8%5.7%
SHYF---
PLOW$656.05M7.1%16.7%

Comparing MANITOWOC CO INC against the 5 most active filers in the same SIC group.

Dividends

$0.00/share trailing 12 months

Ex-datePer share
Nov 24, 2015$0.0725
Nov 25, 2014$0.0725
Nov 26, 2013$0.0725
Nov 28, 2012$0.0725
Nov 30, 2011$0.0725
Dec 1, 2010$0.0725
Nov 27, 2009$0.0181
Aug 28, 2009$0.0181
May 28, 2009$0.0181
Mar 4, 2009$0.0181
Nov 26, 2008$0.0181
Aug 27, 2008$0.0181
May 29, 2008$0.0181
Mar 5, 2008$0.0181
Nov 28, 2007$0.0181
Aug 29, 2007$0.0181
May 30, 2007$0.0159
Mar 7, 2007$0.0159
Nov 29, 2006$0.0159
Aug 30, 2006$0.0159
May 31, 2006$0.0159
Mar 8, 2006$0.0159
Nov 29, 2005$0.0159
Aug 30, 2005$0.0159