71.23
-5.17
(-6.77%)
As of 2:31:47 PM EDT. Market Open.
Breakdown
TTM
9/30/2024
9/30/2023
9/30/2022
9/30/2021
Total Revenue
1,988,964
1,823,889
1,563,548
1,301,674
910,739
Cost of Revenue
1,706,019
1,565,635
1,367,163
1,162,372
790,803
Gross Profit
282,945
258,254
196,385
139,302
119,936
Operating Expense
160,309
151,497
126,947
107,562
91,878
Operating Income
122,636
106,757
69,438
31,740
28,058
Net Non Operating Interest Income Expense
-33,455
-19,071
-17,346
-7,701
-2,404
Other Income Expense
-13,944
4,413
13,312
4,273
2,862
Pretax Income
75,237
92,099
65,404
28,312
28,516
Tax Provision
19,194
23,161
16,403
6,915
8,349
Earnings from Equity Interest Net of Tax
-2
-3
--
-21
10
Net Income Common Stockholders
56,041
68,935
49,001
21,376
20,177
Diluted NI Available to Com Stockholders
56,041
68,935
49,001
21,376
20,177
Basic EPS
1.08
1.33
0.95
0.41
0.39
Diluted EPS
1.06
1.31
0.94
0.41
0.39
Basic Average Shares
52,450.73
51,883.76
51,827
51,773.56
51,636.96
Diluted Average Shares
53,006.87
52,574.50
52,260.21
51,957.42
51,773.21
Total Operating Income as Reported
108,313
111,240
81,875
35,413
30,101
Total Expenses
1,866,328
1,717,132
1,494,110
1,269,934
882,681
Net Income from Continuing & Discontinued Operation
56,041
68,935
49,001
21,376
20,177
Normalized Income
66,710
65,577.23
39,685.69
18,599.21
18,732.60
Interest Expense
33,455
19,071
17,346
7,701
2,404
Net Interest Income
-33,455
-19,071
-17,346
-7,701
-2,404
EBIT
108,692
111,170
82,750
36,013
30,920
EBITDA
211,675
204,090
161,850
101,743
80,726
Reconciled Cost of Revenue
1,706,019
1,565,635
1,367,163
1,162,372
790,803
Reconciled Depreciation
102,983
92,920
79,100
65,730
49,806
Net Income from Continuing Operation Net Minority Interest
56,041
68,935
49,001
21,376
20,177
Total Unusual Items Excluding Goodwill
-14,323
4,483
12,437
3,673
2,043
Total Unusual Items
-14,323
4,483
12,437
3,673
2,043
Normalized EBITDA
225,998
199,607
149,413
98,070
78,683
Tax Rate for Calcs
0
0
0
0
0
Tax Effect of Unusual Items
-3,654
1,125.23
3,121.69
896.21
598.60
9/30/2021 - 5/4/2018
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