Willdan Group, Inc.WLDN

Market cap
$1.5B
P/E ratio
Dec 30,
2011
Dec 28,
2012
Dec 27,
2013
Jan 2,
2015
Jan 1,
2016
Dec 30,
2016
Dec 29,
2017
Dec 28,
2018
Dec 27,
2019
Jan 1,
2021
Dec 31,
2021
Dec 30,
2022
Dec 29,
2023
Dec 27,
2024
Net income (loss)------12105-14-8-81123
Depreciation and amortization944,000737,000585,000460,0002346151917171615
Other non-cash items-------------0
Deferred income taxes, net1-2,249,000--1,427,00021621,000-2,890,000-0-5-3-233
(Gain) loss on sale/disposal of equipment-2,000-18,0006,000-11,00037,000-4,000-27,00012,000000000
Provision for doubtful accounts-673,000101,000510,000659,000216,000-189,000470,000110011
Stock-based compensation201,000227,000150,000258,000777,000136121617857
Accretion and fair value adjustments contingent consideration-----21,0001-1,426,000-0823-0
Accounts receivable3-625,000-2,216,000532,0004-1,288,0007-3,177,000-12414-710-5
Contract assets-------1235-35-32411-6
Other receivables-1,000-80,000117,000-4,000-31,000-82,0001-4,081,00031-0-1-41
Prepaid expenses and other current assets10,00058,000595,000-133,000-203,000519,0001154,0000-1-11-31
Other assets-24,000-76,00026,000202,000-31,000169,000-25,000778,0007-108-3-6-3
Accounts payable3-1,199,000-3,026,000-720,0002206,0003-1,583,000-67-5-84-1
Accrued liabilities4-4,886,000502,0005-1,320,00084-1,945,00017-2721365
Contract liabilities--------2,272,000026-118
Right-of-use assets---------0-000-10
Net cash (used in) provided by operating activities------11812471093972
Purchase of equipment, software, and leasehold improvements395,000359,000306,000492,000222275910108
Proceeds from sale of equipment6,00020,00027,0005,0007,00015,000-59,000000000
Cash paid for acquisitions, net of cash acquired3---891512472---27
Net cash (used in) provided by investing activities-------16,781,000-126,390,000-78-5-8-10-11-16
Payments on contingent consideration-----124117104-
Receipt of restricted cash-----------11--
Payment on restricted cash------------11-
Payments on notes payable211,000663,000621,000162,000244477,000202220
Payments on debt issuance costs-------110-01-
Proceeds from notes payable667,000614,000510,000-3733,000-2-122--
Proceeds from Lines of Credit3412----1,000,0007013824-20105-
Repayments under term loan facility and line of credit3593----3784213131138
Principal payments on finance leases--------111111
Proceeds from stock option exercise7,00011,0009,000450,000512,000327,0002668,000112003
Proceeds from Stock Plans93,000120,00073,00076,000170,000209,000830,0001223333
Cash used to pay taxes on stock grants--------333101
Net cash (used in) provided by financing activities-------2,532,00012057-19-198-24-6
Net increase (decrease) in cash, cash equivalents and restricted cash-------835,000-1023-178451
Interest77,000106,000100,00016,000203,000179,000111,000494,0004545108
Income taxes70,000139,000324,000134,000949,00023340-2-1-31
Contingent consideration related to business acquisitions-------------4
Capital Lease Obligations Incurred247,000151,00087,000677,000420,000373,000294,000462,000101212