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DMC Global Inc. (BOOM) 10-Year Financial Performance & Capital Metrics

BOOM • • Industrial / General
EnergyOilfield ServicesCompletion & Production EquipmentCompletion Tools & Systems
AboutDMC Global Inc. provides a suite of technical products for the energy, industrial, and infrastructure markets worldwide. The company operates through three segments: Arcadia, DynaEnergetics, and NobelClad. The Arcadia segment manufactures, assembles, and sells architectural building materials, including storefronts and entrances, windows, curtain walls, and interior partitions; architectural components, architectural framing systems, and sun control products; sliding and glazing systems; and engineered steel, aluminum, and wood door and window systems. It sells its products through a national in-house sales force for buildings, such as office towers, hotels, education and athletic facilities, health care facilities, government buildings, retail centers, luxury homes, mixed use, and multi-family residential buildings. The DynaEnergetics segment designs, manufactures, markets, and sells perforating systems, including initiation systems, shaped charges, detonating cords, gun hardware, and control panels; and associated hardware for the oil and gas industry. It sells its products through direct selling, distributors, and independent sales representatives. The NobelClad segment produces and sells explosion-welded clad metal plates for use in the construction of heavy, corrosion resistant pressure vessels, and heat exchangers for oil and gas, chemical and petrochemical, alternative energy, hydrometallurgy, aluminum production, shipbuilding, power generation, and industrial refrigeration industries. It sells its products through direct sales personnel, program managers, and independent sales representatives. The company was formerly known as Dynamic Materials Corporation and changed its name to DMC Global Inc. in November 2016. DMC Global Inc. was founded in 1965 and is headquartered in Broomfield, Colorado.Show more
  • Revenue $643M -10.6%
  • EBITDA -$96M -198.5%
  • Net Income -$159M -842.0%
  • EPS (Diluted) -8.20 -859.3%
  • Gross Margin 23.42% -20.6%
  • EBITDA Margin -14.97% -210.2%
  • Operating Margin -20.42% -340.0%
  • Net Margin -24.69% -930.2%
  • ROE -30.64% -935.2%
  • ROIC -15.5% -343.4%
  • Debt/Equity 0.27 -2.8%
  • Interest Coverage -15.15 -335.7%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Strong 5Y sales CAGR of 10.1%
  • ✓Trading at only 0.3x book value

✗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

10Y12.24%
5Y10.09%
3Y35.2%
TTM-6.9%

Profit (Net Income) CAGR

10Y-
5Y-
3Y-
TTM95.66%

EPS CAGR

10Y-
5Y-
3Y-
TTM94.09%

ROCE

10Y Avg1.92%
5Y Avg-1.76%
3Y Avg-2.63%
Latest-19.96%

Peer Comparison

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Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
WHDCactus, Inc.3.53B51.2818.513%15.86%12.41%7.85%0.03
NCSMNCS Multistage Holdings, Inc.99.78M39.2715.4014.1%6.89%9.64%11.44%0.13
TSTenaris S.A.20.4B40.405.58-15.77%16.91%11.58%10.6%0.03
OMSEOMS Energy Technologies Inc.197.81M4.664.40108.91%22.01%53.12%19.03%0.05
NINENine Energy Service, Inc.17.99M0.42-0.37-9.09%-7.17%
BOOMDMC Global Inc.152.58M7.41-0.90-10.61%-1.11%-1.56%19.21%0.27
OISOil States International, Inc.470.2M7.87-43.72-11.47%3.65%3.48%1.78%0.22

Profit & Loss

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Sales/Revenue+166.92M158.57M192.8M326.43M397.55M229.16M260.12M654.09M719.19M642.85M
Revenue Growth %-0.18%-0.05%0.22%0.69%0.22%-0.42%0.14%1.51%0.1%-0.11%
Cost of Goods Sold+131.29M119.89M133.41M215.73M252.63M172.31M200.63M468.64M507.14M492.28M
COGS % of Revenue0.79%0.76%0.69%0.66%0.64%0.75%0.77%0.72%0.71%0.77%
Gross Profit+35.62M38.68M59.39M110.69M144.92M56.85M59.48M185.45M212.05M150.57M
Gross Margin %0.21%0.24%0.31%0.34%0.36%0.25%0.23%0.28%0.29%0.23%
Gross Profit Growth %-0.42%0.09%0.54%0.86%0.31%-0.61%0.05%2.12%0.14%-0.29%
Operating Expenses+59.3M43.95M71.65M73.27M86.5M57.85M61.88M155.46M150.88M281.83M
OpEx % of Revenue0.36%0.28%0.37%0.22%0.22%0.25%0.24%0.24%0.21%0.44%
Selling, General & Admin39.74M38.74M45.72M61.21M65.45M53.01M58.78M118.35M124.44M108.66M
SG&A % of Revenue0.24%0.24%0.24%0.19%0.16%0.23%0.23%0.18%0.17%0.17%
Research & Development0000000000
R&D % of Revenue----------
Other Operating Expenses19.56M5.21M25.93M12.06M21.05M4.84M3.1M37.11M26.43M173.17M
Operating Income+-23.68M-5.27M-12.26M37.42M58.42M-996K-2.4M29.99M61.18M-131.26M
Operating Margin %-0.14%-0.03%-0.06%0.11%0.15%-0%-0.01%0.05%0.09%-0.2%
Operating Income Growth %-4.55%0.78%-1.32%4.05%0.56%-1.02%-1.41%13.49%1.04%-3.15%
EBITDA+-13.4M5.49M-1.69M46.94M68.28M10.09M10.29M81.2M97.68M-96.21M
EBITDA Margin %-0.08%0.03%-0.01%0.14%0.17%0.04%0.04%0.12%0.14%-0.15%
EBITDA Growth %-1.68%1.41%-1.31%28.71%0.45%-0.85%0.02%6.89%0.2%-1.98%
D&A (Non-Cash Add-back)10.28M10.77M10.57M9.52M9.86M11.08M12.69M51.21M36.51M35.05M
EBIT-24.34M-4.64M-13.63M36.22M78.69M-1.23M-2.25M30.17M59.4M-132.33M
Net Interest Income+-1.74M-1.07M-1.65M-1.61M-1.55M-731K-304K-6.19M-9.52M-8.66M
Interest Income4K000000000
Interest Expense1.75M1.07M1.65M1.61M1.55M731K304K6.19M9.52M8.66M
Other Income/Expense-2.41M-434K-3.02M-2.82M-1.72M-964K-152K-6.78M-11.3M-9.73M
Pretax Income+-26.09M-5.71M-15.28M34.61M56.7M-1.96M-2.55M23.21M49.88M-140.99M
Pretax Margin %-0.16%-0.04%-0.08%0.11%0.14%-0.01%-0.01%0.04%0.07%-0.22%
Income Tax+-2.12M797K3.57M4.13M22.66M-548K-1.54M9.38M15.12M10.97M
Effective Tax Rate %0.92%1.14%1.23%0.88%0.6%0.72%1.81%0.61%0.43%1.13%
Net Income+-23.97M-6.5M-18.85M30.47M34.04M-1.41M-4.63M14.18M21.39M-158.71M
Net Margin %-0.14%-0.04%-0.1%0.09%0.09%-0.01%-0.02%0.02%0.03%-0.25%
Net Income Growth %-10.34%0.73%-1.9%2.62%0.12%-1.04%-2.28%4.07%0.51%-8.42%
Net Income (Continuing)-23.97M-6.5M-18.85M30.47M34.04M-1.41M-1.01M13.83M34.76M-151.96M
Discontinued Operations0000000000
Minority Interest000000197.2M187.52M187.76M187.08M
EPS (Diluted)+-1.72-0.46-1.312.042.28-0.10-0.260.721.08-8.20
EPS Growth %-10.56%0.73%-1.85%2.56%0.12%-1.04%-1.72%3.77%0.5%-8.59%
EPS (Basic)-1.72-0.46-1.312.052.29-0.10-0.260.721.08-8.20
Diluted Shares Outstanding13.94M14.13M14.35M14.62M14.66M14.79M17.61M19.37M19.52M19.67M
Basic Shares Outstanding13.94M14.13M14.35M14.53M14.58M14.79M17.61M19.36M19.5M19.67M
Dividend Payout Ratio---0.04%0.08%-----

Balance Sheet

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Total Current Assets+86.45M73.36M99.96M132.22M144.35M143.31M239.2M286.87M326.81M289.02M
Cash & Short-Term Investments6.29M6.42M8.98M13.38M20.35M53.92M30.81M25.14M43.66M14.29M
Cash Only6.29M6.42M8.98M13.38M20.35M28.19M30.81M25.14M31.04M14.29M
Short-Term Investments0000025.74M0012.62M0
Accounts Receivable35.8M32.96M49.47M59.71M60.85M31.37M71.93M94.42M106.2M103.36M
Days Sales Outstanding78.2875.8693.6566.7655.8749.96100.9452.6953.958.69
Inventory35.45M28.83M35.74M51.07M53.73M52.57M124.21M156.59M166.71M152.58M
Days Inventory Outstanding98.5587.7897.7986.4177.63111.37225.97121.96119.99113.13
Other Current Assets00000000018.79M
Total Non-Current Assets+96.41M89.2M73.13M108.2M133.07M136.34M625.22M592.11M557.68M382.31M
Property, Plant & Equipment58M57.13M59.87M95.14M118.66M120.14M174.3M129.44M174.68M129.28M
Fixed Asset Turnover2.88x2.78x3.22x3.43x3.35x1.91x1.49x5.05x4.12x4.97x
Goodwill17.19M16.1M0000141.27M141.72M141.72M0
Intangible Assets20.42M15.83M12.86M8.59M5.88M3.67M255.58M217.93M195.26M174.1M
Long-Term Investments-4.12M-3.69M-98K0000000
Other Non-Current Assets805K139K394K472K4.7M7.94M47.15M95.38M39.28M77.7M
Total Assets+182.87M162.56M173.08M240.42M277.42M279.64M864.41M878.98M884.5M671.34M
Asset Turnover0.91x0.98x1.11x1.36x1.43x0.82x0.30x0.74x0.81x0.96x
Asset Growth %-0.17%-0.11%0.06%0.39%0.15%0.01%2.09%0.02%0.01%-0.24%
Total Current Liabilities+32.9M30.75M45.63M64.56M71.42M47.11M105.81M128.05M126.46M114.1M
Accounts Payable14.62M13.26M19.83M24.24M34.76M17.57M40.28M46.82M40.2M45.06M
Days Payables Outstanding40.6640.3754.2441.0250.2237.2373.2736.4628.9333.41
Short-Term Debt0003.13M3.13M00015M2.5M
Deferred Revenue (Current)1000K1000K1000K1000K1000K1000K1000K1000K1000K0
Other Current Liabilities10.63M11.01M10.79M17.26M10.67M10.29M24.77M29.44M050.67M
Current Ratio2.63x2.39x2.19x2.05x2.02x3.04x2.26x2.24x2.58x2.53x
Quick Ratio1.55x1.45x1.41x1.26x1.27x1.93x1.09x1.02x1.27x1.20x
Cash Conversion Cycle136.17123.27137.19112.1683.28124.1253.64138.18144.95138.41
Total Non-Current Liabilities+30.87M19.4M21.68M41.57M33.86M35.62M200.88M182.76M159.98M119.18M
Long-Term Debt26.83M15.73M17.98M38.23M11.15M8.14M132.43M117.8M100.85M68.32M
Capital Lease Obligations00009.78M10.07M47M43M39.74M37.15M
Deferred Tax Liabilities2.12M1.45M573K379K3.79M2.25M2.2M1.91M1.96M711K
Other Non-Current Liabilities1.93M2.22M3.12M2.96M9.15M15.16M19.25M20.05M17.43M13.01M
Total Liabilities64.44M50.15M67.3M106.13M105.28M82.73M306.69M310.81M286.44M233.29M
Total Debt+26.83M15.73M17.98M41.35M25.77M19.95M185.55M167.84M163.25M116.27M
Net Debt21.21M9.31M9M27.98M5.41M-8.24M154.74M142.7M132.21M101.98M
Debt / Equity0.23x0.14x0.17x0.31x0.15x0.10x0.33x0.30x0.27x0.27x
Debt / EBITDA-2.86x-0.88x0.38x1.98x18.03x2.07x1.67x-
Net Debt / EBITDA-1.70x-0.60x0.08x-0.82x15.04x1.76x1.35x-
Interest Coverage-13.57x-4.94x-7.44x23.17x37.60x-1.36x-7.90x4.85x6.43x-15.15x
Total Equity+118.42M112.41M105.78M134.29M172.14M196.91M557.72M568.17M598.05M438.05M
Equity Growth %-0.24%-0.05%-0.06%0.27%0.28%0.14%1.83%0.02%0.05%-0.27%
Book Value per Share8.507.967.379.1811.7513.3131.6729.3330.6422.27
Total Shareholders' Equity118.42M112.41M105.78M134.29M172.14M196.91M360.52M380.65M410.3M250.97M
Common Stock711K725K741K749K756K796K996K1.01M1.02M1.05M
Retained Earnings87.77M80.11M60.07M89.29M119M115.66M111.03M125.22M146.6M0
Treasury Stock0-25K-362K-817K-7.45M-13.96M-19.48M-20.71M-24.74M-25.98M
Accumulated OCI-40.47M-41.51M-30.82M-35.01M-25.8M-22.96M-26.54M-28.76M-26.43M-29.56M
Minority Interest000000197.2M187.52M187.76M187.08M

Cash Flow

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+1.62M18.2M6.75M27.64M64.59M30.36M-12.81M44.94M65.93M46.6M
Operating CF Margin %0.01%0.11%0.03%0.08%0.16%0.13%-0.05%0.07%0.09%0.07%
Operating CF Growth %-0.93%10.25%-0.63%3.1%1.34%-0.53%-1.42%4.51%0.47%-0.29%
Net Income-23.97M-6.5M-18.85M30.47M34.04M-1.41M-1.01M13.83M34.76M-151.96M
Depreciation & Amortization10.28M10.77M10.57M9.52M9.86M11.08M12.69M51.21M36.51M35.05M
Stock-Based Compensation2.83M2.33M2.98M3.58M5.2M5.67M6.57M10.06M10.27M6.9M
Deferred Taxes5.65M-108K390K-4.33M4.29M-2.31M-1.85M-599K970K4.22M
Other Non-Cash Items16.28M1.81M22.38M1.51M20.21M3.84M171K2.51M2.69M147.36M
Working Capital Changes-9.44M9.9M-10.71M-13.11M-9.01M13.49M-29.39M-32.07M-19.27M5.03M
Change in Receivables-2.39M2.68M-14.43M-11.41M-1.22M30.23M-9.77M-23.11M-11.13M-3.48M
Change in Inventory1.39M6.83M-5.29M-16.61M-2.67M2.99M-12.44M-33.77M-9.46M12.91M
Change in Payables758K-1.34M5.22M2.2M10.14M-14.77M13.58M7.09M-6.73M5.18M
Cash from Investing+-5.33M-5.7M-6.18M-45.09M-25.95M-39.56M-267.81M-20.93M-28.1M-3.57M
Capital Expenditures-5.43M-5.72M-6.19M-45.09M-27.21M-13.85M-8.66M-18.58M-15.97M-17.28M
CapEx % of Revenue0.03%0.04%0.03%0.14%0.07%0.06%0.03%0.03%0.02%0.03%
Acquisitions----------
Investments----------
Other Investing107K-9K00036K-23.88M62K344K0
Cash from Financing+1.79M-12.11M647K21.86M-30.56M17.32M282.58M-28.51M-33.18M-59.79M
Debt Issued (Net)----------
Equity Issued (Net)----------
Dividends Paid-2.26M-1.15M-1.17M-1.19M-2.76M-3.75M000-2.5M
Share Repurchases----------
Other Financing-1.22M0158K-314K0-90K-2.34M-12.48M-13.52M-11.18M
Net Change in Cash----------
Free Cash Flow+-3.81M12.48M561K-17.46M37.38M16.51M-21.47M26.35M49.95M29.31M
FCF Margin %-0.02%0.08%0%-0.05%0.09%0.07%-0.08%0.04%0.07%0.05%
FCF Growth %-3%4.27%-0.96%-32.12%3.14%-0.56%-2.3%2.23%0.9%-0.41%
FCF per Share-0.270.880.04-1.192.551.12-1.221.362.561.49
FCF Conversion (FCF/Net Income)-0.07x-2.80x-0.36x0.91x1.90x-21.50x2.77x3.17x3.08x-0.29x
Interest Paid624K575K1.15M1.38M1.45M402K51K6.24M9.19M7.49M
Taxes Paid2.49M354K124K1.28M21M497K7.53M2.86M4.42M8.7M

Key Ratios

Metric2015201620172018201920202021202220232024
Return on Equity (ROE)-17.53%-5.64%-17.28%25.39%22.22%-0.77%-1.23%2.52%3.67%-30.64%
Return on Invested Capital (ROIC)-11.55%-3.03%-7.78%20.26%25.79%-0.41%-0.4%3.16%6.37%-15.5%
Gross Margin21.34%24.39%30.8%33.91%36.45%24.81%22.87%28.35%29.48%23.42%
Net Margin-14.36%-4.1%-9.78%9.34%8.56%-0.62%-1.78%2.17%2.97%-24.69%
Debt / Equity0.23x0.14x0.17x0.31x0.15x0.10x0.33x0.30x0.27x0.27x
Interest Coverage-13.57x-4.94x-7.44x23.17x37.60x-1.36x-7.90x4.85x6.43x-15.15x
FCF Conversion-0.07x-2.80x-0.36x0.91x1.90x-21.50x2.77x3.17x3.08x-0.29x
Revenue Growth-17.6%-5%21.58%69.31%21.79%-42.36%13.51%151.46%9.95%-10.61%

Revenue by Segment

2015201620172018201920202021202220232024
DynaEnergetics76.94M67.29M121.25M237.45M310.42M146.4M175.36M264.33M315.03M287.69M
DynaEnergetics Growth--12.54%80.19%95.83%30.73%-52.84%19.78%50.74%19.18%-8.68%
Arcadia-------299.53M298.91M249.76M
Arcadia Growth---------0.21%-16.44%
NobelClad89.98M91.28M71.55M88.98M87.13M82.77M84.76M90.23M105.25M105.4M
NobelClad Growth-1.45%-21.62%24.36%-2.08%-5.00%2.41%6.46%16.65%0.14%

Revenue by Geography

2015201620172018201920202021202220232024
NobelClad-----82.77M84.76M90.23M105.25M105.4M
NobelClad Growth------2.41%6.46%16.65%0.14%
UNITED STATES81.63M79M116.08M221.85M309.83M-----
UNITED STATES Growth--3.23%46.94%91.11%39.66%-----
CANADA13M16.02M23.38M30.13M17.69M-----
CANADA Growth-23.24%45.91%28.87%-41.29%-----
the World17.02M20.03M23.1M30.16M17.58M-----
the World Growth-17.68%15.33%30.57%-41.71%-----
UNITED ARAB EMIRATES7.89M7.45M1.77M4.09M6.61M-----
UNITED ARAB EMIRATES Growth--5.60%-76.27%131.50%61.59%-----
NORWAY----5M-----
NORWAY Growth----------
GERMANY5.18M5.98M5.4M4.07M4.9M-----
GERMANY Growth-15.38%-9.73%-24.64%20.48%-----
UKRAINE----3.82M-----
UKRAINE Growth----------
FRANCE6.62M3.74M3.03M4.58M3.64M-----
FRANCE Growth--43.48%-19.02%51.09%-20.48%-----
EGYPT4.08M1.94M2.72M2.42M3.37M-----
EGYPT Growth--52.40%40.11%-11.10%39.15%-----
OMAN----3.2M-----
OMAN Growth----------
KOREA, REPUBLIC OF5.71M1.69M1.17M2.26M2.96M-----
KOREA, REPUBLIC OF Growth--70.40%-30.59%92.92%30.98%-----
BELGIUM----2.37M-----
BELGIUM Growth----------
NETHERLANDS----2.18M-----
NETHERLANDS Growth----------
AUSTRALIA----2.15M-----
AUSTRALIA Growth----------
SWEDEN1.7M2.12M2.01M2.34M2.02M-----
SWEDEN Growth-25.01%-5.41%16.43%-13.81%-----
INDONESIA----1.93M-----
INDONESIA Growth----------
INDIA4.57M5.07M2.93M4.29M1.83M-----
INDIA Growth-10.95%-42.22%46.60%-57.33%-----
SPAIN3.86M1.5M1.13M1.08M1.71M-----
SPAIN Growth--61.12%-24.93%-3.82%57.53%-----
CHINA2.43M7.01M3.67M12.5M------
CHINA Growth-189.04%-47.62%240.40%------
ITALY2.33M2.58M1.58M1.73M------
ITALY Growth-10.74%-38.61%9.36%------
HONG KONG2.21M699K255K496K------
HONG KONG Growth--68.33%-63.52%94.51%------
IRAQ3.76M13K77K314K------
IRAQ Growth--99.65%492.31%307.79%------

Frequently Asked Questions

Growth & Financials

DMC Global Inc. (BOOM) reported $618.7M in revenue for fiscal year 2024. This represents a 196% increase from $208.9M in 2011.

DMC Global Inc. (BOOM) saw revenue decline by 10.6% over the past year.

DMC Global Inc. (BOOM) reported a net loss of $6.9M for fiscal year 2024.

Dividend & Returns

Yes, DMC Global Inc. (BOOM) pays a dividend with a yield of 1.72%. This makes it attractive for income-focused investors.

DMC Global Inc. (BOOM) has a return on equity (ROE) of -30.6%. Negative ROE indicates the company is unprofitable.

DMC Global Inc. (BOOM) generated $34.2M in free cash flow for fiscal year 2024. Positive FCF indicates the company can fund dividends, buybacks, or reinvestment.

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