FRIEDMAN INDUSTRIES INCFRD

Market cap
$99.48M
P/E ratio
Mar 31,
2012
Mar 31,
2013
Mar 31,
2014
Mar 31,
2015
Mar 31,
2016
Mar 31,
2017
Mar 31,
2018
Mar 31,
2019
Mar 31,
2020
Mar 31,
2021
Net earnings862382,330294,000-2,678,6842,759,4045,099,924-5,249,21011,424,475
Depreciation22221,673,7211,594,4061,356,3471,340,4921,524,9611,012,917
Deferred-90,700-83,720-172,281-377,356-221,144-757,4481,269,148-326,920-1,184,1001,338,489
Compensation expense for restricted stock-----72,240288,960137,598332,944527,671
Change in post-retirement benefits--69,907--57,6829,77435,20110,9038,745
Deferred realized gain on derivatives designated for hedge accounting---------6,843,140
Accounts receivable4-7,246,829309,741-2,451,103-2,073,8004,116,6658,519,238-4,274,878-1,478,0678,672,623
Inventories22-3,930,60961,088,462-7,020,5783,120,7823,732,652-12,438,238621,943
Federal income taxes recoverable-----913,347-913,347-448,665-448,665
Other current assets10,45615,261-14,783-1,199-29,840315,561114,448236,630-454,489
Accounts payable and accrued expenses5-909,350-3,975,464-5,057,785328,144-473,0388,229,7701,344,233-2,680,4815,386,439
Income taxes payable-252,497-98,464-----159,694-159,6941,455,099
Employee compensation and related expenses-252,371-193,520-157,9627,702-106,005-36,722371,180-314,699112,4622,233,760
Contribution to retirement plan-----7,500-1,5003,0005,250--250
NET CASH PROVIDED BY (USED IN) OPERATING ACTIVITIES811----3,245,3499,632,09011,232,8198,426,886
Purchase of property, plant and equipment321,403499,486262,124,649799,331349,184807,9894,935,3614,609,617
Proceeds from sale of assets---------30,957
Increase in cash value of officers’ life insurance61,00062,00062,00061,00059,00059,00024,90017,91717,29511,580
NET CASH USED IN INVESTING ACTIVITIES-380,603-519,111-----374,084-825,906-4,952,656-4,590,240
Cash dividends paid372543,956271,978274,078280,3781,191,605839,933564,190
Cash paid for principal portion of finance lease--------49,640100,728
Cash paid for share repurchases---------1,727,378
NET CASH PROVIDED BY FINANCING ACTIVITIES-3,399,723-6,935,433-----280,378-1,191,605-889,573-701,911
DECREASE IN CASH AND RESTRICTED CASH---------3,134,735