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American Woodmark Corporation (AMWD) 10-Year Financial Performance & Capital Metrics

AMWD • • Industrial / General
Consumer CyclicalHome FurnishingsKitchen & Bath ProductsKitchen Cabinetry & Storage
AboutAmerican Woodmark Corporation manufactures and distributes kitchen, bath, office, home organization, and hardware products for the remodelling and new home construction markets in the United States. The company offers made-to-order and cash and carry products. It also provides turnkey installation services to its direct builder customers through a network of eight service centers. The company sells its products under the American Woodmark, Timberlake, Shenandoah Cabinetry, Waypoint Living Spaces, Estate, Stor-It-All, and Professional Cabinet Solutions brands, as well as Hampton Bay, Glacier Bay, Style Selections, Allen + Roth, Home Decorators Collection, and Project Source. It markets its products directly to home centers and builders, as well as through independent dealers and distributors. The company was incorporated in 1980 and is based in Winchester, Virginia.Show more
  • Revenue $1.71B -7.5%
  • EBITDA $195M -18.6%
  • Net Income $99M -14.4%
  • EPS (Diluted) 6.50 -9.1%
  • Gross Margin 17.93% -12.3%
  • EBITDA Margin 11.43% -12.1%
  • Operating Margin 8.2% -6.1%
  • Net Margin 5.82% -7.5%
  • ROE 10.89% -16.4%
  • ROIC 7.76% -15.3%
  • Debt/Equity 0.56 -0.3%
  • Interest Coverage 13.56 -31.0%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Share count reduced 5.9% through buybacks
  • ✓Trading at only 1.1x book value
  • ✓Efficient asset utilization: 1.1x turnover

✗Weaknesses

No significant weaknesses identified

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

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Growth Metrics

Revenue CAGR

10Y7.55%
5Y0.71%
3Y-2.72%
TTM-10.71%

Profit (Net Income) CAGR

10Y10.85%
5Y6.19%
3Y-
TTM-40.36%

EPS CAGR

10Y11.39%
5Y8.02%
3Y-
TTM-36.92%

ROCE

10Y Avg12.78%
5Y Avg8.44%
3Y Avg10.58%
Latest10.07%

Peer Comparison

Kitchen Cabinetry & Storage
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Size & Scale
Valuation
Per Share
Growth
Profitability
Quality & Returns
Safety & Leverage
TTM Growth
Famous Investor Metrics
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Latest Quarter
Momentum & Returns
Total Return (DRIP)
Technical
Volume & Trading
Shares & Dilution
Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
PATKPatrick Industries, Inc.4.19B125.8230.617.14%3.11%10.32%6%1.35
MBCMasterBrand, Inc.1.65B12.9913.53-0.95%3%5.98%12.82%0.84
AMWDAmerican Woodmark Corporation922.52M63.329.74-7.47%3.94%6.77%7.12%0.56

Profit & Loss

Apr 2016Apr 2017Apr 2018Apr 2019Apr 2020Apr 2021Apr 2022Apr 2023Apr 2024Apr 2025
Sales/Revenue+947.04M1.03B1.25B1.65B1.65B1.74B1.86B2.07B1.85B1.71B
Revenue Growth %0.15%0.09%0.21%0.32%0%0.06%0.06%0.11%-0.11%-0.07%
Cost of Goods Sold+747.35M805.61M994.87M1.3B1.32B1.42B1.63B1.71B1.47B1.4B
COGS % of Revenue0.79%0.78%0.8%0.79%0.8%0.82%0.88%0.83%0.8%0.82%
Gross Profit+199.69M224.64M255.4M346.47M329.19M322.12M226.44M357.52M377.81M306.55M
Gross Margin %0.21%0.22%0.2%0.21%0.2%0.18%0.12%0.17%0.2%0.18%
Gross Profit Growth %0.31%0.12%0.14%0.36%-0.05%-0.02%-0.3%0.58%0.06%-0.19%
Operating Expenses+106.53M116.4M147.7M202.79M196.94M207.38M190.1M219.65M216.61M166.31M
OpEx % of Revenue0.11%0.11%0.12%0.12%0.12%0.12%0.1%0.11%0.12%0.1%
Selling, General & Admin106.53M116.4M147.7M202.79M196.94M201.75M190.1M219.65M216.61M161.7M
SG&A % of Revenue0.11%0.11%0.12%0.12%0.12%0.12%0.1%0.11%0.12%0.09%
Research & Development0000000000
R&D % of Revenue----------
Other Operating Expenses-996K0109K005.63M0004.61M
Operating Income+93.16M108.24M107.7M141.69M130.13M114.74M36.16M136.35M161.39M140.24M
Operating Margin %0.1%0.11%0.09%0.09%0.08%0.07%0.02%0.07%0.09%0.08%
Operating Income Growth %0.7%0.16%-0%0.32%-0.08%-0.12%-0.68%2.77%0.18%-0.13%
EBITDA+108.16M125.84M150.41M236.14M254.05M240.92M132.76M230.1M240.18M195.4M
EBITDA Margin %0.11%0.12%0.12%0.14%0.15%0.14%0.07%0.11%0.13%0.11%
EBITDA Growth %0.6%0.16%0.2%0.57%0.08%-0.05%-0.45%0.73%0.04%-0.19%
D&A (Non-Cash Add-back)15M17.6M42.7M94.45M123.92M126.18M96.61M93.74M78.78M55.16M
EBIT93.16M108.92M107.81M143.68M129.57M103.82M-32.79M134.88M160.18M144.85M
Net Interest Income+-129K521K-13.05M-35.65M-29.03M-23.13M-10.19M-15.99M-8.21M-10.34M
Interest Income0521K00000000
Interest Expense378K012.95M35.65M29.03M23.13M10.19M15.99M8.21M10.34M
Other Income/Expense-1.37M687K-12.95M-30.81M-31.21M-34.05M-79.14M-13.67M-9.43M-13.7M
Pretax Income+91.79M108.92M94.76M110.89M98.93M80.69M-42.98M122.69M151.97M126.54M
Pretax Margin %0.1%0.11%0.08%0.07%0.06%0.05%-0.02%0.06%0.08%0.07%
Income Tax+33.06M37.73M31.62M27.2M25.69M19.5M-13.26M28.96M35.75M27.08M
Effective Tax Rate %0.64%0.65%0.67%0.75%0.74%0.76%0.69%0.76%0.76%0.79%
Net Income+58.72M71.2M63.14M83.69M73.65M61.19M-29.72M93.72M116.22M99.46M
Net Margin %0.06%0.07%0.05%0.05%0.04%0.04%-0.02%0.05%0.06%0.06%
Net Income Growth %0.65%0.21%-0.11%0.33%-0.12%-0.17%-1.49%4.15%0.24%-0.14%
Net Income (Continuing)58.72M71.2M63.14M83.69M74.86M61.19M-29.72M93.72M116.22M99.46M
Discontinued Operations0000000000
Minority Interest0000000000
EPS (Diluted)+3.574.343.614.834.423.59-1.795.627.156.50
EPS Growth %0.62%0.22%-0.17%0.34%-0.08%-0.19%-1.5%4.14%0.27%-0.09%
EPS (Basic)3.624.393.804.844.433.61-1.795.647.206.55
Diluted Shares Outstanding16.44M16.4M17.5M17.33M16.95M17.04M16.59M16.68M16.26M15.3M
Basic Shares Outstanding16.24M16.23M16.63M17.29M16.91M16.97M16.59M16.61M16.26M15.3M
Dividend Payout Ratio----------

Balance Sheet

Apr 2016Apr 2017Apr 2018Apr 2019Apr 2020Apr 2021Apr 2022Apr 2023Apr 2024Apr 2025
Total Current Assets+302.21M339.23M364.37M306.04M325.17M409.96M428.66M368.25M402.71M364.45M
Cash & Short-Term Investments200.21M228.73M86.41M59.16M97.06M91.07M22.32M41.73M87.4M48.2M
Cash Only174.46M176.98M78.41M57.66M97.06M91.07M22.32M41.73M87.4M48.2M
Short-Term Investments25.75M51.75M8M1.5M000000
Accounts Receivable55.81M63.12M162.35M126.91M106.34M146.87M156.96M119.16M132.11M113.74M
Days Sales Outstanding21.5122.3647.428.1523.5230.7430.8521.0526.124.28
Inventory39.32M42.86M104.8M108.53M111.84M158.17M228.26M190.7M159.1M178.11M
Days Inventory Outstanding19.219.4238.4530.530.940.5251.0940.7439.5146.34
Other Current Assets0301K0000016.66M24.1M24.41M
Total Non-Current Assets+164.48M162.04M1.28B1.22B1.3B1.24B1.2B1.15B1.19B1.21B
Property, Plant & Equipment99.33M107.93M218.1M208.26M331.49M327.12M321.86M318.94M398.84M373.9M
Fixed Asset Turnover9.53x9.55x5.73x7.90x4.98x5.33x5.77x6.48x4.63x4.57x
Goodwill00767.45M767.61M767.61M767.61M767.61M767.61M767.61M767.61M
Intangible Assets00267.67M218.67M169.67M121.78M76.11M30.44M00
Long-Term Investments18.25M20.5M1.5M0-915K-1.12M0-1.47M00
Other Non-Current Assets46.9M33.61M25.53M28.58M28.86M27.92M36.78M33.55M19.57M64.61M
Total Assets+466.69M501.27M1.65B1.53B1.62B1.65B1.63B1.52B1.59B1.57B
Asset Turnover2.03x2.06x0.76x1.08x1.02x1.05x1.14x1.36x1.16x1.09x
Asset Growth %0.17%0.07%2.28%-0.07%0.06%0.02%-0.01%-0.07%0.05%-0.01%
Total Current Liabilities+92.31M101.5M170.46M149.59M155.61M220.45M216.23M178.12M195.73M182.94M
Accounts Payable35.01M41.31M71.1M61.28M56.34M91.62M111.42M63.91M64.47M50.29M
Days Payables Outstanding17.118.7226.0817.2215.5723.4724.9413.6516.0113.08
Short-Term Debt1.57M1.6M4.14M2.29M21.11M28.32M24.25M27.04M30.13M41.26M
Deferred Revenue (Current)0000000000
Other Current Liabilities20.34M22.43M46.53M31.12M29.09M41.93M36.12M37.22M39.91M39.88M
Current Ratio3.27x3.34x2.14x2.05x2.09x1.86x1.98x2.07x2.06x1.99x
Quick Ratio2.85x2.92x1.52x1.32x1.37x1.14x0.93x1.00x1.24x1.02x
Cash Conversion Cycle23.6123.0659.7641.4338.8547.795748.1349.657.53
Total Non-Current Liabilities+93.62M47.33M893.23M759.99M766.66M677.71M643.38M466.89M487.76M471.63M
Long-Term Debt22.14M15.28M804.6M684.85M591.45M513.45M504.03M367.96M368.37M362.4M
Capital Lease Obligations05.3M5.3M4.36M115.92M97.78M97.78M82.81M109.97M106.27M
Deferred Tax Liabilities0071.56M64.75M52.94M42.89M38.34M11.93M5M0
Other Non-Current Liabilities69.34M26.75M11.77M6.03M6.35M23.59M3.23M4.19M4.43M2.96M
Total Liabilities185.93M148.82M1.06B909.58M922.27M898.16M859.61M645.01M683.49M654.57M
Total Debt+23.72M16.88M814.04M691.49M728.49M639.55M626.07M477.81M508.46M509.93M
Net Debt-150.41M-160.1M735.63M633.84M631.43M548.48M603.74M436.07M421.07M461.73M
Debt / Equity0.08x0.05x1.40x1.11x1.04x0.85x0.81x0.55x0.56x0.56x
Debt / EBITDA0.22x0.13x5.41x2.93x2.87x2.65x4.72x2.08x2.12x2.61x
Net Debt / EBITDA-1.39x-1.27x4.89x2.68x2.49x2.28x4.55x1.90x1.75x2.36x
Interest Coverage246.46x-8.32x3.97x4.48x4.96x3.55x8.53x19.67x13.56x
Total Equity+280.76M352.45M581.66M620.35M700.54M756.24M772.88M873.79M910.38M916M
Equity Growth %0.22%0.26%0.65%0.07%0.13%0.08%0.02%0.13%0.04%0.01%
Book Value per Share17.0821.4933.2335.8041.3244.3946.5852.3755.9959.87
Total Shareholders' Equity280.76M352.45M581.66M620.35M700.54M756.24M772.88M873.79M910.38M916M
Common Stock163.29M168.84M361.16M352.42M359.43M362.52M363.22M370.26M359.78M346.45M
Retained Earnings164.76M224.03M269.58M317.42M392.28M448.28M399.43M493.16M543.27M568.99M
Treasury Stock0000000000
Accumulated OCI-47.28M-40.42M-49.07M-49.49M-51.17M-54.57M10.22M10.37M7.32M555K
Minority Interest0000000000

Cash Flow

Apr 2016Apr 2017Apr 2018Apr 2019Apr 2020Apr 2021Apr 2022Apr 2023Apr 2024Apr 2025
Cash from Operations+71.78M77.08M86.78M190.84M177.54M151.76M24.45M196.73M230.75M108.45M
Operating CF Margin %0.08%0.07%0.07%0.12%0.11%0.09%0.01%0.1%0.12%0.06%
Operating CF Growth %0.22%0.07%0.13%1.2%-0.07%-0.15%-0.84%7.05%0.17%-0.53%
Net Income58.72M71.2M63.14M83.69M74.86M58.76M-29.72M93.72M116.22M99.46M
Depreciation & Amortization16.46M18.68M45M94.45M98.51M100.29M96.61M93.74M78.78M55.91M
Stock-Based Compensation3.61M3.47M3.1M3.04M3.99M4.6M4.71M7.4M10.68M7.99M
Deferred Taxes6.66M9.9M21.4M-7.8M-11.5M-13.67M-25.72M-24.15M-9.56M-9.06M
Other Non-Cash Items-4.88M-24.15M-16.49M-4.49M35.05M46.4M101.78M103M41.05M51.81M
Working Capital Changes-8.79M-2.02M-29.38M21.96M-23.38M-44.62M-123.21M-76.99M-6.41M-97.67M
Change in Receivables-9.94M-7.78M-18.79M9.72M21.02M-42.83M-11.37M35.01M1.78M3.86M
Change in Inventory-4.28M-4.92M2.8M-4.85M-4.49M-31.2M-70.39M30.94M28.46M-22.74M
Change in Payables723K6.3M-858K-4.78M-6.24M32.75M16.39M-50.19M227K-18.56M
Cash from Investing+-40.77M-53.74M-44.32M-37.92M-38.92M-42.43M-51.57M-43.23M-92.19M-42.66M
Capital Expenditures-28.68M-21.81M-47.59M-32.13M-31.67M-35.73M-44.12M-42.6M-91.05M0
CapEx % of Revenue0.03%0.02%0.04%0.02%0.02%0.02%0.02%0.02%0.05%0.03%
Acquisitions----------
Investments----------
Other Investing-4.43M-3.72M-2.28M-6.61M-8.75M-10.58M-7.46M-670K-1.14M-42.66M
Cash from Financing+-8.91M-20.82M-141.03M-173.68M-99.22M-115.32M-41.62M-134.09M-92.89M-104.99M
Debt Issued (Net)----------
Equity Issued (Net)----------
Dividends Paid0000000000
Share Repurchases----------
Other Financing-2.08M-1.53M-17.48M-1.97M-1.05M14.49M-1.16M0-2.49M-72.07M
Net Change in Cash----------
Free Cash Flow+43.09M55.27M39.19M158.72M145.87M116.03M-19.68M154.13M139.7M65.68M
FCF Margin %0.05%0.05%0.03%0.1%0.09%0.07%-0.01%0.07%0.08%0.04%
FCF Growth %0.11%0.28%-0.29%3.05%-0.08%-0.2%-1.17%8.83%-0.09%-0.53%
FCF per Share2.623.372.249.168.616.81-1.199.248.594.29
FCF Conversion (FCF/Net Income)1.22x1.08x1.37x2.28x2.41x2.48x-0.82x2.10x1.99x1.09x
Interest Paid776K596K5.92M35.91M27.65M22.98M9.9M17.35M14.87M14.81M
Taxes Paid24.51M27.3M18.22M22.04M36.15M33.05M18.76M49.59M62.95M43.71M

Key Ratios

Metric2016201720182019202020212022202320242025
Return on Equity (ROE)23%22.49%13.52%13.92%11.15%8.4%-3.89%11.38%13.03%10.89%
Return on Invested Capital (ROIC)59.9%50.36%10.7%8.27%7.55%6.53%2.02%7.61%9.17%7.76%
Gross Margin21.09%21.8%20.43%21.06%19.95%18.47%12.19%17.3%20.45%17.93%
Net Margin6.2%6.91%5.05%5.09%4.46%3.51%-1.6%4.54%6.29%5.82%
Debt / Equity0.08x0.05x1.40x1.11x1.04x0.85x0.81x0.55x0.56x0.56x
Interest Coverage246.46x-8.32x3.97x4.48x4.96x3.55x8.53x19.67x13.56x
FCF Conversion1.22x1.08x1.37x2.28x2.41x2.48x-0.82x2.10x1.99x1.09x
Revenue Growth14.73%8.79%21.36%31.6%0.3%5.68%6.49%11.25%-10.58%-7.47%

Frequently Asked Questions

Valuation & Price

American Woodmark Corporation (AMWD) has a price-to-earnings (P/E) ratio of 9.7x. This may indicate the stock is undervalued or faces growth challenges.

Growth & Financials

American Woodmark Corporation (AMWD) reported $1.60B in revenue for fiscal year 2025. This represents a 209% increase from $515.8M in 2012.

American Woodmark Corporation (AMWD) saw revenue decline by 7.5% over the past year.

Yes, American Woodmark Corporation (AMWD) is profitable, generating $62.8M in net income for fiscal year 2025 (5.8% net margin).

Dividend & Returns

American Woodmark Corporation (AMWD) has a return on equity (ROE) of 10.9%. This is reasonable for most industries.

American Woodmark Corporation (AMWD) generated $79.3M in free cash flow for fiscal year 2025. Positive FCF indicates the company can fund dividends, buybacks, or reinvestment.

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