Espey Mfg Electronics
ESP
$39.40 5.04%
Exchange: AMEX | Sector: Industrials | Industry: Electrical Equipment Parts
Q3 2024
Published: May 13, 2024

Earnings Highlights

  • Revenue of $8.25M down 15.9% year-over-year
  • EPS of $0.40 increased by 17.1% from previous year
  • Gross margin of 25.0%
  • Net income of 1.03M
  • "No transcript available." - N/A

Espey Mfg Electronics Corp (ESP) QQ3 2024 Earnings Review: Resilient Profitability Amid Revenue Headwinds in the Industrials Sector

Executive Summary

Espey Mfg Electronics Corp (ESP) reported QQ3 2024 results ended March 31, 2024 with revenue of $8.25 million and a gross profit of $2.06 million, resulting in a gross margin of 25.0%. Operating income was $1.093 million and net income $1.031 million, translating to EPS of $0.41. Despite a meaningful YoY revenue decline of 15.85% and a QoQ drop of 19.88%, the company delivered positive free cash flow ($379k) and robust operating cash flow ($1.41 million), underscoring earnings quality amid top-line softness. The balance sheet remains exceptionally liquidity-rich with cash and short-term investments totaling $21.12 million and no long-term debt, yielding a net cash position of approximately $5.56 million. This positions ESP with clear financial flexibility to manage working capital, pursue selective capex, and weather near-term demand volatility in a cyclical Industrials/Defense landscape. Key margin stability is evident as gross margin held at about 25% while operating margin stood at ~13.2% and net margin near 12.5%. However, the company carries a relatively high working capital footprint, manifested in an elevated inventory balance of $19.61 million and inventory days outstanding at roughly 285 days, contributing to a compressed asset turnover and a long cash conversion cycle (~343 days). Management commentary (where available) is limited in the QQ3 materials; no formal forward-looking guidance was disclosed publicly in the presented transcript dataset. The stock trades at ~1.61x book value and ~7.7x trailing sales, with a disparate free cash flow multiple suggesting investors should weigh near-term revenue volatility against durable profitability and liquidity attributes.

Key Performance Indicators

Revenue

8.25M
QoQ: -19.88% | YoY:-15.85%

Gross Profit

2.06M
25.01% margin
QoQ: -34.32% | YoY:4.60%

Operating Income

1.09M
QoQ: -47.78% | YoY:14.01%

Net Income

1.03M
QoQ: -42.52% | YoY:18.98%

EPS

0.41
QoQ: -43.06% | YoY:17.14%

Revenue Trend

Margin Analysis

Key Insights

Revenue: $8,254,652 (YoY -15.85%, QoQ -19.88%) Gross Profit: $2,064,190; Gross Margin: 25.01% Operating Income: $1,092,970; Operating Margin: 13.24% EBITDA: $1,203,270; EBITDA Margin: 14.58% Net Income: $1,031,930; Net Margin: 12.50% EPS: $0.41 (Diluted $0.40); Weighted Avg Shs Out: 2,491,906; Diluted: 2,571,921 Operating Cash Flow: $1,411,507; Free Cash Flow: $379,140 Capex: $(1,032,367); Free Cash Flow to Equity: N/A Cash, Cash Equivalents: $5,556,264; Short-Term Investments: $15,568,474; Tota...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q3 2025 10.30 0.63 +24.8% View
Q2 2025 13.61 0.70 +32.1% View
Q1 2025 10.44 0.61 +21.9% View
Q4 2024 11.61 0.73 +39.2% View
Q3 2024 8.25 0.40 -15.9% View