OLYMPIC STEEL INCZEUS

Market cap
$8.1B
P/E ratio
182.1x
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
Net income2528-19-26,777,000-119344-61219145
Net income2528-19-26,777,000-119344-61219145
Depreciation and amortization17222422201919182020212027
(Gain) loss on disposition of property and equipment-00-0-0-15,00000-00-202-
Gain on disposition of property and equipment----699,000---20--0
Gain on disposition of Detroit operation (before expenses of $2,569)----------6--
Stock-based compensation1222211221112
Intangibles and other long-term assets-------2-4-471-1
Deferred income taxes and other long-term liabilities-------9-111-609
Net Cash Provided by (Used in) Operating Activities, Excluding Changes in Working Capital--------231513811281
Accounts receivable17-1029-30,927,00093136-4215131-65-45
Inventories2612-425-104,463,000482179-96-37242-68-52
Prepaid expenses and other-0218-13,808,000-21-0-2-25-12
Accounts payable9-39-24-21,923,0002943-342361-5211
Change in outstanding checks4-015-11-13,644,000-5117-7-152
Accrued payroll and other accrued liabilities-130111-18,511,000536-7635-12-12
Increase (Decrease) in Operating Capital--4-2665-95,120,0002746104-107-47284-74-94
Net cash from (used for) operating activities162755-40107---5113062-146186175
Acquisitions149------22112012-170
Capital expenditures------10261010112021
Proceeds from sale of Detroit property and equipment----------10--
Proceeds from disposition of property and equipment00003,00001001030
Net cash used for investing activities-186-23--8-7,314,000--9-47-21-28-13-17-191
Credit facility revolver borrowings--423633311307387598537340758685743
Credit facility revolver repayments-528455535410288356492647372591847718
Principal payments under finance lease obligation----------111
Credit facility fees and expenses-4-1-0-1-127,000-0-1-0-0-0-1-0-1
Gain on disposition of property and equipment----699,000---20--0
Dividends paid1111879,00011111146
Dividends paid1111879,00011111146
Net cash from (used for) financing activities176-4-4346-100,805,000-29104-112-34164-16717
Net cash from (used for) financing activities176-4-4346-100,805,000-29104-112-34164-16717
Net change----------0421
Interest paid------61011771015
Income taxes paid9---------473314