CoverageForm 410-K10-Q8-K13D13G13F

TISI · Team 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 · TISI

Income Statement

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Revenue$896.48M$852.27M$862.62M$840.21M$874.55M$852.54M
Cost of Revenue$664.77M$629.12M$651.46M$638.60M$660.12M$613.83M
Gross Profit$231.71M$223.15M$211.15M$201.61M$214.44M$238.71M
R&D------
SG&A$217.64M$213.01M$224.43M$241.40M$272.87M$260.92M
Total Operating Expenses------
D&A$34.08M$36.30M$37.87M$37.59M$41.52M$45.91M
Operating Income$14.07M$10.14M($13.28M)($39.80M)($125.98M)($217.36M)
Interest Expense$44.68M$47.81M$55.18M$85.05M$46.31M$29.82M
Income Tax$2.58M$3.28M$4.58M$3.31M$11.21M($14.71M)
Net Income($49.21M)($38.27M)($75.72M)$70.08M($186.02M)($237.20M)
EPS - Basic($11.70)($8.64)($17.32)$16.73($77.40)-
EPS - Diluted($11.70)($8.64)($17.32)$16.73($77.40)-

Balance Sheet

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Cash & Equivalents$18.14M$35.55M$35.43M$58.08M$65.31M$24.59M
Accounts Receivable$177.88M$172.65M$181.19M$186.69M$188.77M$194.07M
Inventory$41.38M$37.87M$38.85M$36.33M$35.75M$36.85M
Accounts Payable$42.01M$42.09M$36.39M$32.52M$46.18M$42.15M
Current Assets$266.40M$305.10M$322.10M$347.55M$353.06M$283.73M
Total Assets$485.45M$528.37M$565.74M$616.64M$704.49M$730.98M
Current Liabilities$120.06M$171.25M$174.94M$448.86M$184.13M$133.00M
Long-term Debt$288.53M$319.97M$305.67M$312.55M--
Total Liabilities$457.98M$526.63M$520.15M$498.88M$652.62M$516.37M
Stockholders' Equity($24.48M)$1.74M$45.60M$117.76M$51.87M$214.60M
Retained Earnings($464.88M)($415.67M)($377.40M)($301.68M)($375.58M)($189.56M)

Cash Flow

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Operating Cash Flow($11.35M)$22.77M($10.99M)($57.94M)($35.45M)$52.76M
Investing Cash Flow($9.06M)($9.30M)($10.02M)$243.36M($14.08M)($18.30M)
Financing Cash Flow$2.81M($12.75M)($1.90M)($191.97M)$91.85M($23.46M)
CapEx$9.29M$9.46M$10.43M$24.69M$17.61M$19.96M
Free Cash Flow($20.64M)$13.30M($21.42M)($82.63M)($53.06M)$32.81M

Ratios

MetricFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Profitability
Gross margin25.8%26.2%24.5%24.0%24.5%28.0%
Operating margin1.6%1.2%-1.5%-4.7%-14.4%-25.5%
EBITDA margin5.4%5.4%2.9%-0.3%-9.7%-20.1%
Net margin-5.5%-4.5%-8.8%8.3%-21.3%-27.8%
Free cash flow margin-2.3%1.6%-2.5%-9.8%-6.1%3.8%
FCF / Net income0.42-0.350.28-1.180.29-0.14
R&D / Revenue------
SG&A / Revenue24.3%25.0%26.0%28.7%31.2%30.6%
Effective tax rate---4.5%--
Return on assets-10.1%-7.2%-13.4%11.4%-26.4%-32.5%
Return on equity201.0%-2201.7%-166.1%59.5%-358.6%-110.5%
Return on invested capital4.2%2.5%-3.0%-8.8%--
Liquidity
Current ratio2.221.781.840.771.922.13
Quick ratio1.871.561.620.691.721.86
Cash ratio0.150.210.200.130.350.18
Leverage
Debt / Equity-11.79184.106.702.65--
Debt / Assets0.590.610.540.51--
Debt / EBITDA5.996.8912.43---
Interest coverage0.3x0.2x-0.2x-0.5x-2.7x-7.3x
Equity multiplier-19.83304.0112.415.2413.583.41
Liabilities / Assets0.941.000.920.810.930.71
Efficiency
Asset turnover1.851.611.521.361.241.17
Inventory turnover16.0616.6116.7717.5818.4616.66
Days sales outstanding72d74d77d81d79d83d
Days inventory outstanding23d22d22d21d20d22d
Days payable outstanding23d24d20d19d26d25d
Cash conversion cycle72d71d78d83d73d80d
Valuation
P / E---0.3x--
P / B-32.3x0.6x0.2x6.5x15.6x
P / S0.1x0.1x0.0x0.0x0.4x3.9x
EV / EBITDA6.9x7.3x12.2x---
Growth
Revenue growth (YoY)5.2%-1.2%2.7%-3.9%2.6%-26.7%
Revenue CAGR (3y)2.2%-0.9%0.4%-10.3%-9.9%-10.8%
Revenue CAGR (5y)1.0%-6.0%-6.3%-6.9%-6.1%0.2%
Gross profit growth (YoY)3.8%5.7%4.7%-6.0%-10.2%-27.2%
Operating income growth (YoY)38.8%-66.6%68.4%42.0%-10028.7%
Net income growth (YoY)-28.6%49.5%--21.6%-631.7%
EPS growth (YoY)-35.4%50.1%----
EPS CAGR (3y)------
EPS CAGR (5y)------
FCF growth (YoY)--74.1%-55.7%-10.1%
FCF CAGR (5y)--14.9%---1.9%
Book value growth (YoY)--96.2%-61.3%127.0%-75.8%-50.9%

Sales by segment

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

Business segments

$896.48M total
Inspectionand Heat Treating$458.88M · 51.2%
Mechanical Services$437.60M · 48.8%

Product / service

$458.88M total
Non Destructive Evaluation And Testing Services$359.04M · 78.2%
Heat Treating$68.21M · 14.9%
Other Services$31.49M · 6.9%
Repairand Maintenance Services$142.0K · 0.0%

Geographic

$597.85M total
US$403.13M · 67.4%
Other Foreign Countries$138.97M · 23.2%
CA$42.19M · 7.1%
Countries Other Thanthe United Statesand Canada$13.56M · 2.3%

Stability scores

Altman Z′

FY 2025 · bankruptcy risk

1.32
Grey zone

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

4/9
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: Services-Miscellaneous Repair Services

CompanyRevenue (last FY)Net marginROE
EJH$49.40M-6.4%-1.2%

Comparing TEAM INC against the 1 most active filer in the same SIC group.

Dividends

$0.00/share trailing 12 months

Ex-datePer share
Feb 3, 1993$0.1000
Nov 5, 1992$0.1000
Aug 10, 1992$0.1750
May 4, 1992$0.1750
Feb 3, 1992$0.1750
Nov 4, 1991$0.1750
Aug 6, 1991$0.1750
May 9, 1991$0.1750
Feb 11, 1991$0.1750
Nov 8, 1990$0.1750
Aug 9, 1990$0.1750
May 9, 1990$0.1250
Feb 20, 1990$0.1250
Nov 9, 1989$0.1250
Aug 9, 1989$0.5000

Cells marked with a small ◇ are sourced from SEC's bulk Financial Statement Data Sets, which can lose dimensional context (notably Revenue and Operating Income for issuers that report by segment). These cells will be replaced with authoritative values from the Company Facts API as the backfill completes.