Daktronics, Inc. (DAKT) Estados Financieros e Histórico

Daktronics, Inc. (DAKT) — Precio $17.56 TechnologyHardware, Equipment & Parts — NASDAQ

Últimos resultados publicados:

Estados financieros detallados de Daktronics, Inc. (DAKT): cuenta de resultados, balance general y flujo de caja. Sigue la evolución de márgenes, deuda, liquidez y rentabilidad año a año con hasta 20 años de histórico.

Resumen del Análisis

Daktronics, Inc. registró ingresos de $838.7M en el último ejercicio fiscal, con un CAGR de 5 años del 11.7%. El beneficio neto alcanzó $45.4M, con un CAGR a 5 años del 32.9%.

Márgenes de los últimos 12 meses: margen bruto 27.6%, margen operativo 7.3%, margen neto 5.7%. El flujo de caja libre creció a un CAGR del -10.1% en 5 años.

Al precio actual de $17.56, DAKT cotiza a un P/E de 16.62 y un ROE del 15.98%. La capitalización bursátil es de $848M.

Cuenta de Resultados (10 años)

Año2017201820192020202120222023202420252026
Ingresos$586.5M$610.5M$569.7M$608.9M$482.0M$611.0M$754.2M$818.1M$756.5M$838.7M
Coste de Ventas$446.1M$464.9M$439.4M$470.2M$361.4M$494.3M$602.8M$595.6M$561.0M$609.7M
Beneficio Bruto$140.4M$145.7M$130.3M$138.7M$120.6M$116.7M$151.4M$222.4M$195.5M$229.0M
I+D$29.1M$35.5M$35.6M$37.8M$26.8M$29.0M$30.0M$35.7M$38.9M$43.5M
Generales y Administrativos$95.9M$97.7M$99.5M$101.1M$76.6M$83.6M$95.4M$99.6M$123.5M$124.7M
Gastos Operativos$125.0M$133.2M$135.0M$138.9M$103.5M$112.7M$125.4M$135.3M$162.4M$168.2M
Beneficio Operativo$15.4M$12.5M-$4.8M$97000$17.1M$4.0M$26.0M$87.1M$33.1M$60.8M
EBITDA$34.4M$30.2M$13.9M$17.6M$34.2M$16.5M$43.0M$104.9M$13.7M$76.4M
Gastos por Intereses$230000$217000$160000$106000$2950000$1.1M$4.9M$4.5M$2.4M
Beneficio Antes de Impuestos$15.6M$12.4M-$4.9M-$9000$14.1M$1.1M$13.3M$54.1M-$5.9M$58.3M
Impuestos$5.2M$6.9M-$4.0M-$500000$3.1M$516000$6.5M$19.4M$4.3M$13.0M
Beneficio Neto$10.3M$5.6M-$958000$491000$10.9M$592000$6.8M$34.6M-$10.1M$45.4M
BPA$0.23$0.13$-0.02$0.01$0.24$0.01$0.15$0.75$-0.21$0.93
BPA Diluido$0.23$0.12$-0.02$0.01$0.24$0.01$0.15$0.74$-0.21$0.92
Acciones en Circulación (Diluidas)$44.3M$44.9M$44.9M$45.3M$45.2M$45.3M$45.5M$46.5M$47.6M$49.4M

Cuenta de Resultados (Trimestral)

Año2025-Q42026-Q12026-Q22026-Q3
Ingresos$229.3M$181.9M$208.6M$234.6M
Beneficio Bruto$61.8M$43.6M$58.5M$71.6M
Beneficio Operativo$21.6M$1.9M$14.1M$24.9M
EBITDA$26.3M$7.1M$14.9M$29.6M
Beneficio Neto$17.5M$3.0M$8.4M$19.4M
BPA$0.36$0.06$0.17$0.40
BPA Diluido$0.35$0.06$0.17$0.40

Balance (10 años)

Año2017201820192020202120222023202420252026
Caja y Equivalentes$32.6M$29.7M$35.4M$40.4M$77.6M$17.1M$24.0M$81.3M$127.5M$131.6M
Inversiones a Corto$32.7M$34.5M$26.3M$1.2M0$4.0M$534000000
Cuentas por Cobrar$118.1M$115.5M$102.6M$112.1M$102.8M$146.2M$158.3M$173.7M$139.6M$194.6M
Inventario$66.5M$75.3M$78.8M$86.8M$74.4M$134.4M$149.4M$138.0M$105.8M$110.5M
Activos Corrientes$257.7M$264.1M$253.7M$252.0M$265.0M$317.6M$342.7M$401.9M$381.5M$448.0M
Inmovilizado Material$66.7M$68.1M$65.3M$67.5M$58.7M$66.8M$72.1M$71.8M$73.9M$64.3M
Fondo de Comercio$7.8M$8.3M$7.9M$7.7M$8.4M$7.9M$3.2M$3.2M$3.2M$3.7M
Activos Intangibles$4.7M$3.7M$4.9M$3.4M$2.1M$1.5M$1.1M$840000$568000$3.3M
Activos Totales$355.4M$358.8M$349.2M$372.7M$375.2M$440.9M$468.1M$527.9M$502.9M$554.4M
Cuentas por Pagar$51.5M$48.8M$44.9M$47.8M$40.3M$76.3M$67.5M$60.8M$46.7M$68.6M
Deuda a Corto$1.4M$1.1M00000$1.5M$1.5M$4.4M
Pasivos Corrientes$130.6M$131.3M$134.1M$146.0M$146.6M$213.7M$210.2M$192.3M$172.0M$193.7M
Deuda a Largo00$16.3M0$7.8M$6.6M$17.8M$53.2M$10.5M$9.6M
Pasivos Totales$157.1M$161.2M$161.6M$195.7M$181.6M$249.3M$267.2M$289.1M$231.0M$253.7M
Reservas$114.0M$107.1M$93.6M$85.1M$96.0M$96.6M$103.4M$138.0M$127.9M$173.3M
Patrimonio Neto$198.3M$197.6M$187.7M$177.0M$193.6M$191.6M$200.9M$238.8M$271.9M$300.7M
Deuda Total$1.4M$1.1M$16.3M$2.4M$1.9M$2.3M$20.0M$56.6M$16.8M$18.1M
Deuda Neta-$63.9M-$63.2M-$45.4M-$39.2M-$75.7M-$18.9M-$4.5M-$24.7M-$110.7M-$113.5M
Capital Circulante$127.1M$132.8M$119.6M$106.0M$118.4M$103.9M$132.5M$209.7M$209.4M$254.3M

Balance (Trimestral)

Año2025-Q42026-Q12026-Q22026-Q3
Caja y Equivalentes$149.6M$144.4M$131.6M$154.6M
Activos Totales$548.4M$546.4M$554.4M$607.4M
Pasivos Totales$250.9M$252.6M$253.7M$289.8M
Patrimonio Neto$297.5M$293.7M$300.7M$317.6M
Deuda Total$30.4M$17.3M$18.1M$15.1M

Flujo de Caja (10 años)

Año2017201820192020202120222023202420252026
Beneficio Neto$10.3M$5.6M-$958000$491000$10.9M$592000$6.8M$34.6M-$10.1M$45.4M
Amortizaciones$18.6M$17.8M$18.6M$17.7M$17.1M$15.4M$17.0M$19.3M$19.5M$19.3M
Compensación en Acciones$2.9M$2.6M$2.5M$2.3M$2.1M$2.0M$2.0M$2.1M$2.9M$4.9M
Cambio en Capital Circulante$7.5M$1.9M$11.9M-$8.1M$31.7M-$45.4M-$19.9M-$14.1M$51.4M-$36.0M
Flujo de Caja Operativo$39.6M$30.4M$29.5M$10.8M$66.2M-$27.0M$15.0M$63.2M$97.7M$49.2M
Inversiones (CapEx)-$8.7M-$18.1M-$17.3M-$18.1M-$7.9M-$20.4M-$25.4M-$17.0M-$19.5M-$14.9M
Adquisiciones-$1.6M-$1.4M-$3.5M-$11.7M-$6.7M-$7.8M-$4.3M-$5.0M-$4.6M-$5.3M
Recompra de Acciones-$1.8M-$311000-$246000-$5.6M-$125000-$3.2M-$140000-$303000-$29.5M-$25.6M
Dividendos Pagados-$13.7M-$12.4M-$12.6M-$9.0M000000
Flujo de Caja Libre$30.9M$12.2M$12.3M-$7.3M$58.3M-$47.4M-$10.4M$46.3M$78.2M$34.3M

Flujo de Caja (Trimestral)

Año2025-Q42026-Q12026-Q22026-Q3
Flujo de Caja Operativo$16.5M$11.7M-$5.1M$31.4M
Inversiones (CapEx)-$2.5M-$3.6M-$4.5M-$4.1M
Flujo de Caja Libre$14.0M$8.1M-$9.6M$27.3M
Dividendos Pagados0000
Compensación en Acciones$1.0M$1.7M$1.3M$1.2M

Crecimiento y Márgenes (10 años)

Año2017201820192020202120222023202420252026
Crecimiento Ingresos (anual)+4.1%-6.7%+6.9%-20.8%+26.7%+23.4%+8.5%-7.5%+10.9%
Crecimiento Beneficio Neto (anual)-46.2%-117.2%+151.3%+2125.3%-94.6%+1049.0%+409.0%-129.2%+548.3%
Crecimiento BPA (anual)-43.5%-116.4%+151.2%+2101.8%-94.5%+1045.0%+400.0%-128.0%+542.9%
Cambio en Acciones (anual)+1.3%+0.1%+0.9%-0.3%+0.3%+0.4%+2.2%+2.2%+3.8%
Crecimiento FCF (anual)-60.4%+0.4%-159.3%+900.8%-181.3%+78.1%+546.5%+69.1%-56.1%
Margen Bruto23.9%23.9%22.9%22.8%25.0%19.1%20.1%27.2%25.8%27.3%
Margen Operativo2.6%2.0%-0.8%0.0%3.5%0.7%3.4%10.6%4.4%7.3%
Margen EBITDA5.9%5.0%2.4%2.9%7.1%2.7%5.7%12.8%1.8%9.1%
Margen Neto1.8%0.9%-0.2%0.1%2.3%0.1%0.9%4.2%-1.3%5.4%
Margen FCF5.3%2.0%2.2%-1.2%12.1%-7.8%-1.4%5.7%10.3%4.1%
Tasa Impositiva Efectiva33.7%55.2%80.6%5555.6%22.3%46.6%48.7%35.9%-73.0%22.2%

Datos por Acción (10 años)

Año2017201820192020202120222023202420252026
FCF por Acción$0.70$0.27$0.27$-0.16$1.29$-1.05$-0.23$0.99$1.64$0.69
Dividendo por Acción$0.31$0.28$0.28$0.20$0.00$0.00$0.00$0.00$0.00$0.00
Acciones en Circulación (Básicas)$44.1M$44.5M$44.9M$45.0M$45.0M$45.2M$45.4M$45.9M$47.6M$48.6M

Qué mirar en empresas de Technology

Rentabilidad

Rentabilidad sobre capital15.98%
Rentabilidad sobre capital invertido12.95%
Rentabilidad sobre activos7.96%
Margen bruto27.57%
Margen operativo7.32%
Margen neto5.66%

Salud financiera

Deuda / Patrimonio0.05
Ratio corriente2.17

Ratios Clave (10 años)

Año2017201820192020202120222023202420252026
P/E40.6169.31-355.87414.6825.71255.7331.8012.60-60.4321.18
P/VC2.082.031.811.151.430.791.081.822.223.18
P/V0.700.660.600.330.580.250.290.530.801.14
Margen Bruto23.9%23.9%22.9%22.8%25.0%19.1%20.1%27.2%25.8%27.3%
Margen Operativo2.6%2.0%-0.8%0.0%3.5%0.7%3.4%10.6%4.4%7.3%
Margen Neto1.8%0.9%-0.2%0.1%2.3%0.1%0.9%4.2%-1.3%5.4%

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