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Vishay Precision Group, Inc.


         SELECTED FINANCIAL ITEMS                                 VPG
         (in millions of USD)
                                                                     CQ2 '23    CQ3 '23    CQ4 '23    CQ1 '24       LTM
         Income Statement Key Items
         Total Revenue                                                90.80      85.85       89.53      80.78     346.97
         Gross Profit                                                 38.75      36.15       38.53      35.09     148.52
         Gross Margin                                                   43%        42%        43%        43%        43%
         EBIT                                                         11.93        9.52      12.34       7.69      41.47
         EBIT Margin                                                    13%        11%        14%        10%        12%
         Net Income to Common Shareholders                             8.35        6.36       4.32       5.83      24.86
         Net Margin                                                      9%         7%         5%         7%          7%

         Balance Sheet Key Items
         Total Assets                                                486.98     484.31     471.57      466.20     466.20
         Cash & Short Term Investments                                98.52      94.63       83.97      83.02      83.02
         % of Assets                                                    20%        20%        18%        18%         18%
         Current Assets -Total                                       264.39     259.73      243.06     240.96     240.96
         % of Assets                                                    54%        54%        52%        52%         52%
         Total Liabilities                                           165.31     160.15      141.64     138.33     138.33
         % of Assets                                                    34%        33%        30%        30%         30%
         Current Liabilities - Total                                  61.24      59.71       61.62      91.46      91.46
         % of Assets                                                    13%        12%        13%        20%        20%
         Long Term Debt                                               60.80      53.83       31.86         NA         NA
         % of Assets                                                    12%        11%         7%         NM         NM
         Total Equity                                                321.67     324.16     329.93      327.87     327.87
         % of Assets                                                    66%        67%        70%        70%        70%

         Cash Flow Statement Key Items
         Net Cash Flow - Operating Activities                          9.77        8.90      18.78       6.41      43.86
         Net Cash Flow - Investing                                     (3.36)     (3.94)     (4.30)     (2.23)    (13.83)
         Net Cash Flow - Financing                                     (0.45)     (7.87)    (26.78)     (3.65)    (38.74)

         Source: Capital IQ


         PRICE / VOLUME




















                                                                                        Source: Channelchek/QuoteMedia

              Noble Capital Markets Emerging Growth Consumer / Entertainment / Media Conference
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