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Last Update: 2023-12-23 05:59:05
Knife River Corp ( KNF )
64.93USD
Sector:
Basic Materials
Industry:
Building Materials
Country:
1y
3y
5y
10y
Historical Returns*:
SPY
23.45%
KNF
0.00%
SPY
30.72%
KNF
0.00%
SPY
112.82%
KNF
0.00%
SPY
201.04%
KNF
0.00%
*Assumes dividends reinvested
Market Stats:
Market Capitalization($MM)
Enterprise Value($MM)
Daily Volume(MM)
3672.84
4283.73
0.33
Valuation Metrics:
Price/Earnings Ratio
Price/Sales Ratio
Price/Book Value
FCF Yield(%)
Dividend Yield(%)
EV/EBITDA
13.19
0.78
2.95
3.26
0.00
6.45
Profitability Stats:
Operating Margin %(ttm)
Gross Profit %(ttm)
EBITDA Margin %(ttm)
19.28
24.71
14.07
Shareholder Value Creation:
Cost of Capital %(est)
ROIC %(ttm)
ROCE %(ttm)
Beta
3.86
18.02
23.21
0.00
Other Earnings and Cash Flow Stats:
Knife River Corp ( KNF ) Net Income TTM ($MM) is 321.21
Knife River Corp ( KNF ) Operating Income TTM ($MM) is 502.87
Knife River Corp ( KNF ) Owners' Earnings Annual ($MM) is 0.00
Knife River Corp ( KNF ) Current Price to Owners' Earnings ratio is 0.00
Knife River Corp ( KNF ) EBITDA TTM ($MM) is 712.50
Knife River Corp ( KNF ) EBITDA Margin is 14.07%
Capital Allocation:
Knife River Corp ( KNF ) has paid 0.00 dividends per share and bought back -0.0002099999999956 million shares in the past 12 months
Knife River Corp ( KNF ) has reduced its debt by 130.713 million USD in the last 12 months
Capital Structure:
Knife River Corp ( KNF ) Interest-bearing Debt ($MM) as of last quarter is 727
Knife River Corp ( KNF ) Annual Working Capital Investments ($MM) are 63
Knife River Corp ( KNF ) Book Value ($MM) as of last quarter is 1243
Knife River Corp ( KNF ) Debt/Capital as of last quarter is 58%
Other Balance Sheet Stats:
Knife River Corp ( KNF ) has 116 million in cash on hand as of last quarter
Knife River Corp ( KNF ) has 424 million of liabilities due within 12 months, and long term debt 682 as of last quarter
Knife River Corp ( KNF ) has 56 common shares outstanding as of last quarter
Knife River Corp ( KNF ) has 0 million USD of preferred stock value
Academic Scores:
Knife River Corp ( KNF ) Altman Z-Score is 4.45 as of last quarter
Knife River Corp ( KNF ) Piotroski Score is 6.00 as of last quarter
Corporate Governance:
Knife River Corp ( KNF ) largest shareholder is owning shares at 0.00 ($MM) value
(an insider) shares of Knife River Corp ( KNF ) for the amount of $ on
0.00% of Knife River Corp ( KNF ) is held by insiders, and 24.43% is held by institutions
Knife River Corp ( KNF ) went public on 2023-06-01
Other Knife River Corp ( KNF ) financial metrics:
FCF:255.45
Unlevered Free Cash Flow:0.00
EPS:10.37
Operating Margin:19.28
Gross Profit Margin:24.71
Div. Payout Ratio%:0.00
Div. Growth YoY%:0.00
Equity Return%:47.19
Beta:0.00
Buffet's Owners Earnings:0.00
Price to Owner's Earnings:0.00
About Knife River Corp ( KNF ) :
Knife River Corporation provides aggregates-based construction materials and contracting services in the United States. It operates through six segments: Pacific, Northwest, Mountain, North Central, South, and Energy Services. The company mines, processes, and sells construction aggregates, including crushed stone and sand, and gravel; and produces and sells asphalt and ready-mix concrete, as well as provides contracting services to support the aggregate-based product lines, including heavy-civil construction, asphalt and concrete paving, and site development and grading. It serves federal, state, and municipal governments for various projects, such as highways, bridges, airports, schools, public buildings, and other public-infrastructure projects. The company was founded in 1917 and is based in Bismarck, North Dakota.
User Content from Tickernomics. Created by Luminus.
DISCLAIMER

This web site and its creators are not certified financial advisors. All opinions/suggestions expressed on this website should not be treated as specific inducement to make a particular investment or follow a particular strategy, but only as an expression of an opinion.The Company doesn't warrant the information provided on the website for its completeness or accuracy, and it should not be relied upon as such. The Company is not under any obligation to update or correct any information provided on this website.The content of this website is published in the United States of America and persons who access it agree to do so in accordance with applicable U.S. law.Past performance is not indicative of future results. The Company doesn't guarantee any specific outcome or profit. You should be aware of the real risk of loss in following any strategy or investment discussed on this website.Strategies or investments discussed may fluctuate in price or value. Investors may get back less than invested. Investments or strategies mentioned on this website may not be suitable for you. This material does not take into account your particular investment objectives,financial situation or needs and is not intended as recommendations appropriate for you. You must make an independent decision regarding investments or strategies mentioned on this website. Before acting on information on this website, you should consider whether it is suitable for your particular circumstances and strongly consider seeking advice from your own financial or investment adviser.