Revenue and profitability overview:
- Revenue: $4,136,543,000; YoY change: -7.74%; QoQ change: +2.22%
- Gross Profit: $357,909,000; YoY change: +9.73%; QoQ change: +10.28%; Gross Margin: 8.65%
- Operating Income: $215,919,000; YoY change: +21.24%; QoQ change: +22.09%; Operating Margin: 5.22%
- Net Income: $152,471,000; YoY change: +20.77%; QoQ change: +12.69%; Net Margin: 3.69%
- EPS: $1.27 basic, $1.26 diluted; YoY EPS change: +19.81%; QoQ: +13.39%
- EBITDA: $240,785,000; EBITDA Margin: 5.82%
Cash flow and liquidity:
- Net cash provided by operating activities: $227,128,000
- Free cash flow: $219,836,000
- Cash at end of period: $155,993,000; Net debt: $1,535,732,000; Total debt: $1,691,725,000
- Cash flow allocation: Dividends paid $74,865,000; Common stock repurchased $81,067,000; Debt repayments $36,000,000
Balance sheet and turnover metrics:
- Total assets: $5,321,911,000; Total liabilities: $3,537,524,000; Total stockholdersβ equity: $1,784,387,000
- Current ratio: 1.31; Debt to capitalization: ~0.487; Debt to equity: ~0.948; Interest coverage: 12.85x
- Receivables turnover: 1.52x; Payables turnover: 2.85x; CCC: 27.77 days
- Operating cash flow per share: $1.883; Free cash flow per share: $1.823; Dividend payout ratio: ~49.1%
Notes on revenue drivers and efficiency:
- The QoQ improvements in profitability metrics alongside a YoY revenue decline indicate ongoing cost discipline and favorable mix during the QQ2 period. The companyβs margin resilience is aided by a combination of price/mix, efficiency in SG&A, and cash flow discipline.