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XNASTH
Market cap946mUSD
Jan 13, Last price  
9.52USD
1D
-1.54%
1Q
24.12%
IPO
-5.25%
Name

Target Hospitality Corp

Chart & Performance

D1W1MN
XNAS:TH chart
P/E
5.42
P/S
1.67
EPS
1.76
Div Yield, %
0.00%
Shrs. gr., 5y
20.99%
Rev. gr., 5y
18.56%
Revenues
564m
+12.28%
149,467,000134,235,000240,600,000321,096,000225,148,000291,337,000501,985,000563,608,000
Net income
174m
+134.92%
26,909,000981,0004,956,0006,236,000-27,478,000-4,576,00073,939,000173,700,000
CFO
157m
-48.69%
44,728,00040,774,00026,203,00060,495,00046,781,000104,599,000305,612,000156,801,000
Earnings
Mar 11, 2025

Profile

Target Hospitality Corp. operates as a specialty rental and hospitality services company in North America. The company operates through four segments: Hospitality & Facilities Services - South, Hospitality & Facilities Services - Midwest, Government, and TCPL Keystone. It owns a network of specialty rental accommodation units with approximately 15,528 beds across 27 communities, which include 26 owned and 1 leased; and operates 1 community not owned or leased by the company. Target Hospitality Corp. also provides catering and food, maintenance, housekeeping, grounds-keeping, security, health and recreation, workforce community management, concierge, and laundry services. It serves the U.S. government, government contractors, investment grade natural resource development companies, and energy infrastructure companies. The company was founded in 1978 and is headquartered in The Woodlands, Texas.
IPO date
Mar 05, 2018
Employees
921
Domiciled in
US
Incorporated in
US

Valuation

Title
USD in thousands, except ratios and share amounts
FYFYFYFYFYFYFYFY
2023‑122022‑122021‑122020‑122019‑122018‑122017‑122016‑12
Income
Revenues
563,608
12.28%
501,985
72.30%
Cost of revenue
250,284
254,857
Unusual Expense (Income)
NOPBT
313,324
247,128
NOPBT Margin
55.59%
49.23%
Operating Taxes
51,050
32,370
Tax Rate
16.29%
13.10%
NOPAT
262,274
214,758
Net income
173,700
134.92%
73,939
-1,715.80%
Dividends
Dividend yield
Proceeds from repurchase of equity
(6,818)
(41)
BB yield
0.67%
0.00%
Debt
Debt current
26,566
13,651
Long-term debt
210,276
354,691
Deferred revenue
3,675
5,479
Other long-term liabilities
2,424
30,485
Net debt
132,913
238,575
Cash flow
Cash from operating activities
156,801
305,612
CAPEX
(63,874)
(120,287)
Cash from investing activities
(68,180)
(140,228)
Cash from financing activities
(166,369)
(7,098)
FCF
183,203
139,490
Balance
Cash
103,929
181,673
Long term investments
(51,906)
Excess cash
75,749
104,668
Stockholders' equity
258,487
198,273
Invested Capital
521,766
474,642
ROIC
52.64%
46.60%
ROCE
48.16%
41.57%
EV
Common stock shares outstanding
105,319
100,058
Price
9.73
-35.73%
15.14
325.28%
Market cap
1,024,758
-32.35%
1,514,874
340.45%
EV
1,157,671
1,753,449
EBITDA
397,301
314,793
EV/EBITDA
2.91
5.57
Interest
26,778
36,323
Interest/NOPBT
8.55%
14.70%