• LAST PRICE
    73.8600
  • TODAY'S CHANGE (%)
    Trending Down-0.4200 (-0.5654%)
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    73.6400/ 4
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  • Open / Previous Close
    74.4800 / 74.2800
  • Day Range
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    High 74.4800
  • 52 Week Range
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    High 87.3969
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    below average

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  • May 13, 2024

  • May 1, 2024

      Show headlines and story abstract
    • 7:40AM ET on Wednesday May 01, 2024 by MT Newswires
      Companies Mentioned: ROCK
      07:40 AM EDT, 05/01/2024 (MT Newswires) -- ...
    • 7:40AM ET on Wednesday May 01, 2024 by MT Newswires
      Companies Mentioned: ROCK
      07:40 AM EDT, 05/01/2024 (MT Newswires) -- ...
    • 7:30AM ET on Wednesday May 01, 2024 by Business Wire
      Companies Mentioned: ROCK

      --Strong Operating Cash Flow Generation of $53.2 Million

      --Reaffirming 2024 Outlook for 4-9% Revenue, 12-20% EPS Growth

      Gibraltar Industries, Inc. (Nasdaq: ROCK), a leading manufacturer and provider of products and services for the renewable energy, residential, agtech and infrastructure markets, today reported its financial results for the three-month period ended March 31, 2024.

    • 7:30AM ET on Wednesday May 01, 2024 by Dow Jones
      Companies Mentioned: ROCK
      Amortization (195) (195) -- -- -- -------- ------ ------- ------ ------- ----- Adjusted Depreciation & Amortization 6,639 1,984 2,493 954 780 Stock Compensation Expense 1,594 214 298 153 47 -------- ------ ------- ------ ------- ----- Adjusted EBITDA Recast** $ 39,325 $ 4,886 $ 32,414 $ 4,659 $ 3,541 ======== ====== ======= ====== ======= ===== Adjusted EBITDA Margin Recast** 13.6% 8.5% 18.1% 14.0% 18.9% Adjusted EBITDA Previously Reported $ 39,028 $ 4,631 $ 32,414 $ 4,659 $ 3,541 Adjusted EBITDA Margin Previously Reported 13.4% 7.8% 18.1% 14.0% 18.9% Cash Flow - Operating Activities 38,045 Purchase of PPE, Net (2,190) -------- Free Cash Flow 35,855 Free Cash Flow - % of Adjusted Net Sales 12.3% *Details of recast amounts for the sale of the Japan based solar racking business within the Renewables segment are presented on corresponding Reconciliation of Adjusted Financial Measures **Recast to exclude sale of Japan based solar racking business within the Renewables segment GIBRALTAR INDUSTRIES, INC. Reconciliation of Adjusted Financial Measures (in thousands) (unaudited) Twelve Months Ended December 31, 2023 Consolidated Renewables Residential Agtech Infrastructure -------------- ------------ --------------- ------------ ------------------ Adjusted Net Sales* $1,361,953 $319,014 $ 814,803 $140,908 $ 87,228 Net Income 110,533 Provision for Income Taxes 38,459 Interest Expense 3,002 Other Income (1,265) --------- Operating Profit 150,729 30,160 143,068 (928) 18,529 Adjusted Measures* 22,345 9,110 4,823 8,074 -- --------- ------- ------- ------- ------- ----- Adjusted Operating Profit 173,074 39,270 147,891 7,146 18,529 Adjusted Operating Margin 12.7% 12.3% 18.2% 5.1% 21.2% Adjusted Other Expense** 228 -- -- -- -- Depreciation & Amortization** 27,378 8,670 10,079 3,790 3,137 Less: Japan Depreciation & Amortization (676) (676) -- -- -- --------- ------- ------- ------- ------- ----- Adjusted Depreciation & Amortization 26,702 7,994 10,079 3,790 3,137 Stock Compensation Expense 9,750 881 1,633 197 289 --------- ------- ------- ------- ------- ----- Adjusted EBITDA Recast** $ 209,298 $ 48,145 $ 159,603 $ 11,133 $ 21,955 ========= ======= ======= ======= ======= ===== Adjusted EBITDA Margin Recast** 15.4% 15.1% 19.6% 7.9% 25.2% Adjusted EBITDA Previously Reported $ 211,043 $ 50,073 $ 159,603 $ 11,133 $ 21,955 Adjusted EBITDA Margin Previously Reported 15.4% 15.1% 19.6% 7.9% 25.2% Cash Flow - Operating Activities 218,476 Purchase of PPE, Net (13,906) --------- Free Cash Flow 204,570 Free Cash Flow - % of Adjusted Net Sales 14.9% *Details of recast amounts for the sale of the Japan based solar racking business within the Renewables segment are presented on corresponding Reconciliation of Adjusted Financial Measures **Recast to exclude sale of Japan based solar racking business within the Renewables segment

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