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Vishay Precision Group, Inc.

NYSE•VPG
CEO: Mr. Ziv Shoshani Ph.D.
セクター: Technology
業種: Hardware, Equipment & Parts
上場日: 2010-06-23
Vishay Precision Group, Inc. designs, manufactures, and markets specialized sensors, weighing solutions, and measurement systems in the United States, Israel, the United Kingdom, rest of Europe, Asia, and Canada. It operates through three segments: Sensors, Weighing Solutions, and Measurement Systems. Its product portfolio includes precision resistors, strain gages, load cells and force measurement transducers, on-board weighing systems, and process weighing products; rolling force measuring load cell systems and pressure transmitters; web tension measurement load cells and systems; and optical strip width gages; and laser velocimeters for speed and length measurements and closed-loop crop optimization control systems for optimal strip cuts. The company also offers data acquisition systems and sensors for product safety testing; thermal-mechanical simulation systems for metallurgical research; and conditioning, data acquisition and control systems, as well as electronic displays, signal processors, microelectromechanical system sensors, cabling, system software, and communications software/hardware. Its products are used in industrial comprising waste management, bulk hauling, logging, scales manufacturing, engineering systems, pharmaceutical, oil, chemical, steel, paper, and food industries, as well as test and measurement, steel, medical, construction, agricultural, and consumer markets. The company offers its products under the Alpha Electronics, Powertron, Vishay Foil Resistors, Micro-Measurements, APR, Celtron, Revere, Sensortronics, Tedea-Huntleigh, Stress-tek, Vulcan, BLH Nobel, KELK, and DTS brands. Vishay Precision Group, Inc. was incorporated in 2009 and is headquartered in Malvern, Pennsylvania.
連絡先情報
3 Great Valley Parkway, Suite 150, Malvern, PA, 19355, United States
484-321-5300
vpgsensors.com
時価総額
$546.52M
PER (TTM)
102.4
57.5
配当利回り
--
52週高値
$56.25
52週安値
$18.57
52週レンジ
60%
順位37Top 34.1%
4.4
F-Score
改良版 Piotroski 分析
10年ファンダメンタル
堅調 • 4.4 / 9 ポイント
スコアレンジ (0-9)
8-9: 価値が優れている
6-7: 基礎体質が強い
4-5: 全体的に堅調
0-3: パフォーマンスが弱い
データ期間: 2016-2025

財務ダッシュボード

Q4 2025 データ

売上高

$80.57M+0.00%
直近4四半期の推移

EPS

-$0.14+0.00%
直近4四半期の推移

フリーCF

$1.35M+0.00%
直近4四半期の推移

2025 Annual 決算ハイライト

主なハイライト

Revenue Growth Minimal Net revenues reached $307.2M USD, showing only 0.2% increase from $306.5M USD in prior year.
Profitability Declined Sharply Net earnings attributable to stockholders fell to $5.3M USD from $9.9M USD; diluted EPS dropped to $0.40 from $0.74.
Gross Margin Pressure Evident Gross profit margin decreased 2.1% to 38.9% in 2025 from 41.0% in 2024 due to segment mix and FX.
Strategic Management Shift Refined business strategy in Q4 2025 to accelerate growth; added Chief Business Product Officer and Chief Operating Officer roles.

リスク要因

Qualified Labor Shortages Shortages of qualified labor could decrease production ability, impacting customer demand fulfillment and overall results.
Intense Global Competition Foil resistors face competition from China; strain gages compete with evolving semiconductor technology, threatening market position.
Acquisition Integration Risk Future expansion relies on acquisitions; success is not assured, potentially leading to integration difficulties and financial strain.
Foreign Exchange Volatility Significant foreign currency exposure, especially Israeli shekel and Yen fluctuations, negatively impacted 2025 net earnings.

見通し

Focus on Organic Growth Strategy emphasizes leveraging core technologies to accelerate organic growth, targeting higher-volume opportunities driven by macro trends.
Optimize Core Competencies Continue optimizing development, manufacturing, and sales processes; investing in advanced sensors technology for margin improvement.
Capital Expenditure Increase Capital expenditures planned for 2026 are approximately $15.6M USD, up from $8.0M USD spent in 2025.
R&D Investment Sustained Expect to sustain or increase R&D expenditures to fill product pipeline, supporting future sales growth and profitability expansion.

同業比較

売上高 (TTM)

PSFE stock ticker logoPSFE
$1.70B
-0.2%
BAND stock ticker logoBAND
$753.82M
+0.7%
IBEX stock ticker logoIBEX
$603.27M
+15.6%

粗利益率 (最新四半期)

CRNC stock ticker logoCRNC
86.3%
+9.9pp
DDI stock ticker logoDDI
73.0%
+0.8pp
ALLT stock ticker logoALLT
71.5%
-2.1pp

主要指標

銘柄コード
時価総額
PER (TTM)
ROE (TTM)
負債比率
VPG$546.52M102.41.6%14.0%
LPTH$509.11M-24.6-70.2%6.9%
BAND$470.18M-35.9-3.4%62.6%

長期トレンド

直近4四半期
売上高
純利益
営業キャッシュフロー
4四半期売上高CAGR
3.9%
緩やかな成長
4四半期純利益CAGR
N/M
収益構造の変化
キャッシュフロー安定性
75%
キャッシュフローの変動が大きい

深度リサーチ

次回決算:2026年5月4日
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EPS:-
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売上高:-
財務データ
決算説明会
財務レポート
ニュース
損益計算書
バランスシート
キャッシュフロー計算書
財務比率
変化率
損益計算書
直近12ヶ月
データなし