MSA Safety IncMSA

Market cap
$6.2B
P/E ratio
Dec 31,
2010
Dec 31,
2011
Dec 31,
2012
Dec 31,
2013
Dec 31,
2014
Dec 31,
2015
Dec 31,
2016
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Dec 31,
2024
Net income39709288886894271251381212218059285
Depreciation and amortization------353838384050566164
Tax-effected loss on divestiture of MSA LLC (Note 20)--------------200-
Stock-based compensation (Note 12)781010989121214719203018
Pension income (Note 15)-------763102-11-8-8
Deferred income tax (benefit) provision (Note 11)----3-5-214-31-41-3-395-9-0
Loss on asset write-down and dispositions, net4-380221-1-0-0-0-1-6-0-1
Pension contributions (Note 15)------445666558
Currency exchange losses, net (Note 7)----5-1-2-1-5-2-20-9-0-10-17-4
Product liability expense (Note 20)-------126452739185210-
Proceeds From Collection Of Insurance and Notes Receivable----------111510--
Product liability payments (Note 20)--------62552440375-
Contribution on divestiture of MSA LLC (Note 20)-------------341-
Trade receivables-10-0-2132322-136109-8-43971
Inventories (Note 5)-11-1-3619-1430112391867-5215
Accounts payable7-0-117-10813-14-1119-13-85-3
Other current assets and liabilities-13118115720-46-19186141-254-49
Other noncurrent assets and liabilities32-2414185346-13-81610113-3-2-3
Cash Flow From Operating Activities32851501111075513523026416520719915793296
Capital expenditures253032373436262434374944434354
Purchase of short-term investments (Note 19)--------7316919913480--
Proceeds from maturities of short-term investments (Note 19)--------18175175160119--
Property disposals and other investing----1------51-3-0
Cash Flow Used In Investing Activities-282-12-17-35-31-208-26-239-84-64-73-415-4-40-54
Payments on long-term debt (Note 13)401992473074222924445605708811,0311,3471,0231,8711,244
Proceeds from long-term debt (Note 13)3251641842954065103836374638649871,6401,0101,8951,150
Debt issuance costs--------1--2-10
Cash dividends paid363851444647495357646769717379
Company stock purchases (Note 8)8141261021851329634437
Exercise of stock options (Note 8)8141072131898126521
Proceeds from Stock Plans-----0111111111
Cash Flow Used In Financing Activities247-71-111-58-58165-9823-163-85-127204-113-52-209
Effect of exchange rate changes on cash, cash equivalents and restricted cash-------------17-17-17
Change in cash, cash equivalents and restricted cash---------128-2023-1617
Interest paid in cash7---------109214736
Income Taxes Paid-22303632505840414961466069103