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XNAS
FSTR
Market cap261mUSD
Jul 28, Last price  
24.79USD
1D
0.65%
1Q
22.42%
Jan 2017
82.28%
Name

L B Foster Co

Chart & Performance

D1W1MN
No data to show
P/E
6.10
P/S
0.49
EPS
4.07
Div Yield, %
Shrs. gr., 5y
0.75%
Rev. gr., 5y
-4.12%
Revenues
531m
-2.39%
353,484,000389,788,000508,981,000512,592,000381,962,000475,050,000590,926,000588,541,000597,963,000607,192,000624,523,000483,514,000536,377,000626,969,000655,057,000497,411,000513,620,000497,497,000543,744,000530,765,000
Net income
43m
+2,833.47%
5,434,00013,530,000110,693,00027,746,00015,727,00020,492,00022,895,00016,188,00029,290,00025,656,000-44,445,000-141,660,0004,113,000-31,168,00042,568,00025,823,0003,626,000-45,677,0001,464,00042,946,000
CFO
23m
-39.45%
-3,605,000-13,655,000-5,124,00024,097,00025,740,00059,482,00030,670,00026,466,00014,155,00066,739,00056,172,00018,405,00039,372,00025,964,00029,297,00016,918,000-1,063,000-10,576,00037,376,00022,632,000
Dividend
Sep 07, 20160.04 USD/sh
Earnings
Aug 04, 2025

Profile

L.B. Foster Company provides engineered and manufactured products and services for the building and infrastructure projects worldwide. The company's Rail, Technologies, and Services segment offers new rail to passenger and short line freight railroads, industrial companies, and rail contractors; used rails; rail accessories, including track spikes and anchors, bolts, angle bars, tie plates, and other products; power rail, direct fixation fasteners, coverboards, and special accessories; and trackwork products, as well as engineers and manufactures insulated rail joints and related accessories. This segment also provides friction management products and application systems, railroad condition monitoring systems and equipment, wheel impact load detection systems, wayside data collection and management systems, track fasteners, and engineered concrete railroad ties; and aftermarket services. Its Precast Concrete Products segment offers a range of specialty precast concrete products, such as sound walls, burial vaults, bridge beams, box culverts, septic tanks, and other custom pre-stressed products for use in transportation and general infrastructure markets. This segment also manufactures precast concrete buildings for use as restrooms, concession stands, and protective storage buildings in national, state, and municipal parks. The company's Steel Products and Measurement segment provides bridge decking, bridge railing, structural steel fabrications, expansion joints, bridge forms, and other products for highway construction and repair. This segment also produces threaded pipe products for industrial water well, irrigation, and oil and gas markets, as well as offers pipe coatings for oil and gas pipelines and utilities, and precision measurement systems for the oil and gas market. The company markets its products directly, as well as through a network of agents. L.B. Foster Company was founded in 1902 and is headquartered in Pittsburgh, Pennsylvania.
IPO date
Jun 09, 1981
Employees
1,131
Domiciled in
US
Incorporated in
US

Valuation

Title
USD in thousands, except ratios and share amounts
FYFYFYFYFYFYFYFYFYFY
2024‑122023‑122022‑122021‑122020‑122019‑122018‑122017‑122016‑122015‑12
Income
Revenues
530,765
-2.39%
543,744
9.30%
497,497
-3.14%
Cost of revenue
412,703
433,489
410,105
Unusual Expense (Income)
NOPBT
118,062
110,255
87,392
NOPBT Margin
22.24%
20.28%
17.57%
Operating Taxes
(28,398)
(355)
36,681
Tax Rate
41.97%
NOPAT
146,460
110,610
50,711
Net income
42,946
2,833.47%
1,464
-103.21%
(45,677)
-1,359.71%
Dividends
Dividend yield
Proceeds from repurchase of equity
(8,237)
(2,625)
(410)
BB yield
2.77%
1.09%
0.40%
Debt
Debt current
167
102
127
Long-term debt
29,418
78,901
120,078
Deferred revenue
Other long-term liabilities
51,381
6,797
15,577
Net debt
27,131
76,443
117,323
Cash flow
Cash from operating activities
22,632
37,376
(10,576)
CAPEX
(4,933)
(7,633)
Cash from investing activities
(6,312)
2,066
(56,418)
Cash from financing activities
(16,231)
(39,296)
60,240
FCF
142,714
151,981
4,574
Balance
Cash
2,454
2,560
2,882
Long term investments
Excess cash
Stockholders' equity
146,672
106,218
102,535
Invested Capital
245,271
216,770
259,217
ROIC
63.40%
46.48%
19.81%
ROCE
47.91%
50.58%
33.31%
EV
Common stock shares outstanding
11,048
10,995
10,720
Price
26.90
22.33%
21.99
127.17%
9.68
-29.60%
Market cap
297,191
22.92%
241,780
133.00%
103,770
-29.81%
EV
325,020
318,947
221,513
EBITDA
127,514
125,518
102,171
EV/EBITDA
2.55
2.54
2.17
Interest
4,992
5,528
3,340
Interest/NOPBT
4.23%
5.01%
3.82%