Atkore Inc.
NYSE•ATKR
CEO: Mr. William E. Waltz Jr.
セクター: Industrials
業種: Electrical Equipment & Parts
上場日: 2016-06-10
Atkore Inc. engages in the manufacture and sale of electrical, mechanical, safety, and infrastructure products and solutions in the United States and internationally. The company offers conduits, cables, and installation accessories. It also designs and manufactures protection and reliability solutions for critical infrastructure, such as metal framing, mechanical pipe, perimeter security, and cable management. The company offers its products under the Allied Tube & Conduit, AFC Cable Systems, Kaf-Tech, Heritage Plastics, Unistrut, Power-Strut, Cope, US Tray, FRE Composites, United Poly Systems, Calbond, and Calpipe. It serves various end markets, including new construction; maintenance, repair, and remodel; infrastructure; diversified industrials; alternative power generation; healthcare; data centers; and governments through electrical, industrial, and mechanical contractors, as well as original equipment manufacturers. The company was formerly known as Atkore International Group Inc. and changed its name to Atkore Inc. in February 2021. Atkore Inc. was founded in 1959 and is headquartered in Harvey, Illinois.
連絡先情報
時価総額
$1.89B
PER (TTM)
-40.2
46.1
配当利回り
2.4%
52週高値
$80.06
52週安値
$49.92
52週レンジ
順位28Top 16.1%
5.3
F-Score
改良版 Piotroski 分析
10年ファンダメンタル
堅調 • 5.3 / 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
Q1 2026 データ
売上高
$655.50M-0.92%
直近4四半期の推移
EPS
$0.45-65.91%
直近4四半期の推移
フリーCF
-$67.26M-303.32%
直近4四半期の推移
2026 Q1 決算ハイライト
主なハイライト
Net Income Plummets Net income $15.0M, down 67.6% from $46.3M due to significantly lower gross profit margins this quarter.
Operating Income Collapse Operating income $20.1M, a 70.5% decrease, reflecting severe margin compression across core business segments.
S&I EBITDA Surge Safety & Infrastructure Adjusted EBITDA rose 93.8% to $30.2M, driven by improved operational performance and cost control.
Cash Flow Reversal Operating cash flow used $55.5M, a $129.9M decrease from prior period cash provided, impacting liquidity.
リスク要因
Gross Profit Deterioration Gross profit fell 26.4% to $125.9M, driven by 8.0% higher cost of sales incurred, including input costs.
Strategic Review Uncertainty Reviewing strategic alternatives incurs substantial expenses; no deadline set for transaction completion, creating uncertainty.
Negative Operating Cash Cash used $55.5M in operations, reversing $74.4M provided last year due to lower operating income results.
Restructuring Charge Impact $1.5M restructuring charges recognized; additional $8.2M depreciation expense expected in Q1 2026 from site closures.
見通し
Strategic Alternatives Review Board initiated review process ongoing without deadline; speculation could cause stock price to fluctuate significantly.
Strong Liquidity Position Cash $443.8M available; expects cash flow and ABL facility capacity to fund operations for next twelve months.
Future Dividend Approved Board approved $0.33 per share quarterly dividend, payable February 27, 2026, demonstrating capital return focus.
Debt Management Strategy May repurchase debt or refinance opportunistically depending on market conditions, debt trading levels, and covenants.
同業比較
売上高 (TTM)
$5.38B
$3.73B
$3.26B
粗利益率 (最新四半期)
78.0%
49.6%
40.9%
主要指標
銘柄コード | 時価総額 | PER (TTM) | ROE (TTM) | 負債比率 |
|---|---|---|---|---|
| LUNR | $3.15B | -10.1 | 43.1% | 49.3% |
| REVG | $3.12B | 32.6 | 23.9% | 4.7% |
| TRN | $2.37B | 9.3 | 24.5% | 64.6% |
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
-2.2%
横ばい
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5日
EPS:$1.13
|売上高:$710.12M
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