TRIUMPH GROUP INCTGI

Market cap
$967.62M
P/E ratio
Mar 31,
2011
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
Mar 31,
2022
Mar 31,
2023
Net income (loss)150281297206239-1,048-43-425-322-28-451-4390
Depreciation and amortization-120130164158178177158150138935036
Asset Impairment Charges-----874266535--2522-
Amortization of acquired contract liability-292726437613212112567753963
(Gain) loss on sale of assets and businesses----------57-105-9102
Curtailments, settlements, withdrawals, and special termination benefits loss, net-------------15
Loss on extinguishment of debt------------33
Amortization of Debt Issuance Costs41047846129112496
Provision for credit losses0122020-0-02502
Deferred Income Tax Expense (Benefit)81153187103105-1189-43-83-000
Warrants remeasurement gain------------10
Share-based compensation45651388101113109
Trade and other receivables1682-2546-69-73-112105--5-126-326
Contract assets---------65-50-47-19
Inventories214714094-50-2942731631649-35-2628
Prepaid expenses and other current assets-135-10-27-1243-1601-2
Accounts payable, accrued expenses, and contract liabilities-18-58-609554212-44-72-61-331-189-36
Accrued pension and other postretirement benefits-124-157-143-101-181-88-100-88-80-68-52-59-33
Other, net-0-203-2338-10-411-2
Net cash used in operating activities14222832113546784282-289-17497-173-137-52
Capital expenditures9094127206110805242-40252021
(Payments on) proceeds from sale of assets and businesses------------6
Investment in joint venture-----------20
Purchase of facility related to divested businesses-----------22-
Net cash (used in) provided by investing activities-434-70-467-247-68-12834382017-9181-27
Net decrease in revolving credit facility---------185-400--
Proceeds from issuance of long-term debt84692528451509135245445558671401,235
Retirement of debt and finance lease obligations---------4501603801,127
Payment of deferred financing costs2349360141821821017
Proceeds from Issuance of Common Stock----------145-4
Premium on redemption of Senior Notes------------26
Repurchase of shares for share-based compensation minimum tax obligation-123100011134
Net cash provided by (used in) financing activities173-166149103-39532-26621432294277-39366
Effect of exchange rate changes on cash----------510-10
Net change in cash and cash equivalents---------393104-349-13