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Clarus Corporation (CLAR) 10-Year Financial Performance & Capital Metrics

CLAR • • Industrial / General
Consumer CyclicalLeisureOutdoor Recreation EquipmentOutdoor Gear & Equipment
AboutClarus Corporation develops, manufactures, and distributes outdoor equipment and lifestyle products focusing on the outdoor and consumer markets in the United States, Canada, Europe, the Middle East, Asia, Australia, New Zealand, Africa, and South America. Its Outdoor segment offers activity-based apparel, such as shells, insulation, midlayers, pants, and logowear; rock-climbing footwear and equipment, including carabiners, protection devices, harnesses, belay devices, helmets, and ice-climbing gears; technical backpacks and day packs; trekking poles; headlamps and lanterns; gloves and mittens; skincare and other products; and skis, ski poles, ski skins, and snow safety products, such as avalanche airbag systems, avalanche transceivers, shovels, and probes. This segment offers its products for climbing, mountaineering, trail running, backpacking, skiing, and other outdoor recreation activities under the Black Diamond Equipment, PIEPS, and SKINourishment brands. The company's Precision Sport segment manufactures bullets and ammunition products for precision target shooting, hunting, and military and law enforcement purposes under the Sierra and Barnes brands. The company sells its products to mountain, rock, ice, and gym climbers; and winter outdoor enthusiasts, trail runners, backpackers, competitive shooters, hunters, and outdoor consumers. Its Adventure segment offers engineered automotive roof racks, trays, mounting systems, luggage boxes, carriers, and accessories under the Rhino-Rack brand; and overlanding and off-road vehicle recovery and extraction tracks for the overland and the off-road market under the MAXTRAX brand. It markets and distributes its products through independent specialty stores and specialty chains, sporting goods and outdoor recreation stores, distributors, and original equipment manufacturers; and independent distributors, as well as through its websites. The company was incorporated in 1991 and is headquartered in Salt Lake City, Utah.Show more
  • Revenue $264M -7.6%
  • EBITDA -$57M -7371.7%
  • Net Income -$52M -415.3%
  • EPS (Diluted) -1.37 -407.4%
  • Gross Margin 35.04% +2.8%
  • EBITDA Margin -21.4% -7984.3%
  • Operating Margin -26.63% -260.8%
  • Net Margin -19.78% -457.7%
  • ROE -19.91% -473.3%
  • ROIC -16.99% -357.1%
  • Debt/Equity 0.07 -84.7%
  • Interest Coverage -
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Company is almost debt free
  • ✓Healthy dividend yield of 2.6%
  • ✓Trading at only 0.6x book value

✗Weaknesses

  • ✗Negative free cash flow
  • ✗Low quality earnings: Net income not backed by cash flow

* 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

10Y3.19%
5Y2.87%
3Y-0.21%
TTM29.68%

Profit (Net Income) CAGR

10Y-
5Y-
3Y-
TTM-1768.03%

EPS CAGR

10Y-
5Y-
3Y-
TTM-1752.31%

ROCE

10Y Avg-6.34%
5Y Avg-10.41%
3Y Avg-16.88%
Latest-24.17%

Peer Comparison

Outdoor Gear & Equipment
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Valuation
Per Share
Growth
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Quality & Returns
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Momentum & Returns
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Technical
Volume & Trading
Shares & Dilution
Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
CLARClarus Corporation147.08M3.83-2.80-7.59%-31.52%-35.79%0.07
JOUTJohnson Outdoors Inc.416.11M45.00-17.31-10.7%-7.02%-8.77%4.56%0.11
AOUTAmerican Outdoor Brands, Inc.124.99M9.93-165510.55%-2.69%-3.27%0.19

Profit & Loss

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Sales/Revenue+149.48M148.19M170.69M212.14M229.44M224.01M265.97M315.25M286.02M264.31M
Revenue Growth %-0.23%-0.01%0.15%0.24%0.08%-0.02%0.19%0.19%-0.09%-0.08%
Cost of Goods Sold+101.02M104.5M116.88M138.18M149.15M146.21M178.1M205.3M188.51M171.7M
COGS % of Revenue0.68%0.71%0.68%0.65%0.65%0.65%0.67%0.65%0.66%0.65%
Gross Profit+54.25M43.68M53.81M73.96M80.29M77.8M87.87M109.95M97.51M92.62M
Gross Margin %0.36%0.29%0.32%0.35%0.35%0.35%0.33%0.35%0.34%0.35%
Gross Profit Growth %-0.28%-0.19%0.23%0.37%0.09%-0.03%0.13%0.25%-0.11%-0.05%
Operating Expenses+58.5M49.94M56.3M65.15M68.86M73.86M100.58M216.44M118.62M163M
OpEx % of Revenue0.39%0.34%0.33%0.31%0.3%0.33%0.38%0.69%0.41%0.62%
Selling, General & Admin58.5M49.94M48.31M55.68M68.68M71.43M90.66M120.81M116.37M115.79M
SG&A % of Revenue0.39%0.34%0.28%0.26%0.3%0.32%0.34%0.38%0.41%0.44%
Research & Development7.47M6.6M7.98M9.47M000000
R&D % of Revenue0.05%0.04%0.05%0.04%------
Other Operating Expenses33.83M533K-949K-359K179K2.43M9.91M95.62M2.25M47.21M
Operating Income+-38.08M-5.97M-4.82M8.17M11.43M3.93M-12.7M-106.48M-21.11M-70.38M
Operating Margin %-0.25%-0.04%-0.03%0.04%0.05%0.02%-0.05%-0.34%-0.07%-0.27%
Operating Income Growth %-2.81%0.84%0.19%2.7%0.4%-0.66%-4.23%-7.38%0.8%-2.33%
EBITDA+-33.8M-2.63M444K16.47M19.53M12.8M3.12M-83.53M-757K-56.56M
EBITDA Margin %-0.23%-0.02%0%0.08%0.09%0.06%0.01%-0.26%-0%-0.21%
EBITDA Growth %-12.55%0.92%1.17%36.09%0.19%-0.34%-0.76%-27.79%0.99%-73.72%
D&A (Non-Cash Add-back)4.28M3.34M5.26M8.3M8.1M8.87M15.82M22.95M20.35M13.82M
EBIT-37.65M-5.44M-4.47M9.86M11.34M4.85M-2.79M-10.86M-18.86M-23.17M
Net Interest Income+-2.77M-2.88M-1.29M-1.34M-1.36M-1.26M-2.94M-7.89M67K1.47M
Interest Income0000000067K1.47M
Interest Expense2.77M2.88M1.29M1.34M1.36M1.26M2.94M7.89M00
Other Income/Expense-2.33M-2.34M-945K-1.7M-1.45M-349K-4.41M-1.03M1.03M-206K
Pretax Income+-40.41M-8.31M-5.76M6.47M9.98M3.58M-17.11M-107.52M-20.08M-70.58M
Pretax Margin %-0.27%-0.06%-0.03%0.03%0.04%0.02%-0.06%-0.34%-0.07%-0.27%
Income Tax+47.69M665K-5.09M-828K-8.99M-1.96M-19.23M-14.72M-4.29M17.85M
Effective Tax Rate %1.92%1.08%0.12%1.13%1.9%1.55%-1.52%0.65%0.51%0.74%
Net Income+-77.54M-8.98M-673K7.3M18.97M5.54M26.09M-69.78M-10.15M-52.29M
Net Margin %-0.52%-0.06%-0%0.03%0.08%0.02%0.1%-0.22%-0.04%-0.2%
Net Income Growth %-6.54%0.88%0.93%11.85%1.6%-0.71%3.71%-3.67%0.85%-4.15%
Net Income (Continuing)-88.11M-8.98M-673K7.3M18.97M5.54M2.12M-92.8M-15.79M-88.44M
Discontinued Operations10.56M0000023.97M23.02M5.64M36.15M
Minority Interest0000000000
EPS (Diluted)+-2.32-0.30-0.020.240.610.180.73-1.88-0.27-1.37
EPS Growth %-6.4%0.87%0.93%11.76%1.54%-0.7%3.06%-3.58%0.86%-4.07%
EPS (Basic)-2.32-0.30-0.020.240.630.180.79-1.88-0.27-1.37
Diluted Shares Outstanding32.74M30.53M30.16M30.25M31.13M31.23M35.69M37.2M37.48M38.3M
Basic Shares Outstanding32.74M30.53M30.16M30.42M29.95M30.81M33.14M27.97M37.48M38.3M
Dividend Payout Ratio---0.2%0.16%0.27%0.13%---

Balance Sheet

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Total Current Assets+182.38M166.94M99.44M108.5M120.87M142.12M226.95M238.62M299.75M177.78M
Cash & Short-Term Investments98.22M94.74M1.86M2.49M1.7M17.79M19.46M11.98M11.32M45.36M
Cash Only88.4M94.74M1.86M2.49M1.7M17.79M19.46M11.98M11.32M45.36M
Short-Term Investments9.82M000000000
Accounts Receivable27.52M23.32M35.82M35.97M41.95M50.59M66.3M51.17M54.86M44.59M
Days Sales Outstanding67.2157.4376.5961.8866.7482.4490.9859.2470.0161.57
Inventory51.5M45.41M58.14M64.93M73.43M68.36M129.35M107.6M91.41M82.28M
Days Inventory Outstanding186.06158.6181.56171.52179.71170.64265.1191.31176.99174.91
Other Current Assets1.64M1.17M3.63M000067.87M142.15M5.55M
Total Non-Current Assets+46.21M43.51M108M104.63M109.39M138.57M404.88M279.53M195.59M116.31M
Property, Plant & Equipment10.79M11.05M24.34M23.4M22.92M26.96M42.83M17.3M16.59M17.61M
Fixed Asset Turnover13.85x13.40x7.01x9.07x10.01x8.31x6.21x18.22x17.24x15.01x
Goodwill0017.75M18.09M18.09M26.71M118.09M36.28M39.32M3.8M
Intangible Assets33.58M32.31M65.08M61.11M57.45M66.94M201.95M106.7M99.99M31.52M
Long-Term Investments-8.97M-8.97M-3.67M-2.92M000000
Other Non-Current Assets1.84M147K833K2.03M3.03M6.85M19.58M101.33M16.82M63.35M
Total Assets+228.59M210.46M207.45M213.13M230.26M280.69M631.83M518.14M495.34M294.09M
Asset Turnover0.65x0.70x0.82x1.00x1.00x0.80x0.42x0.61x0.58x0.90x
Asset Growth %-0.28%-0.08%-0.01%0.03%0.08%0.22%1.25%-0.18%-0.04%-0.41%
Total Current Liabilities+21.45M40.61M19.78M21.74M24.56M39.62M72.98M64.59M170.93M36.04M
Accounts Payable20.82M17.74M19.46M21.49M24.3M21.48M31.49M24.77M20.02M11.87M
Days Payables Outstanding75.2361.9660.7656.7659.4853.6364.5344.0338.7525.24
Short-Term Debt021.9M041K04M9.59M11.9M119.79M1.89M
Deferred Revenue (Current)0-1000K090K000000
Other Current Liabilities624K093K007.24M16.56M18.51M20.79M9.66M
Current Ratio8.50x4.11x5.03x4.99x4.92x3.59x3.11x3.69x1.75x4.93x
Quick Ratio6.10x2.99x2.09x2.00x1.93x1.86x1.34x2.03x1.22x2.65x
Cash Conversion Cycle178.04154.07197.39176.64186.97199.45291.55206.52208.25211.24
Total Non-Current Liabilities+31.14M9.04M24.68M25.18M24.51M36.48M188.68M161.44M32.28M24.96M
Long-Term Debt20.13M020.84M22.11M22.67M30.62M131.95M127.08M00
Capital Lease Obligations000004.41M15.11M12.82M13.03M11.29M
Deferred Tax Liabilities8.97M8.97M3.67M2.92M1.22M1.23M35.28M18.51M18.12M12.21M
Other Non-Current Liabilities2.04M76K175K159K615K214K6.34M3.03M1.13M1.47M
Total Liabilities52.59M49.65M44.47M46.92M49.07M76.1M261.66M226.04M203.22M61M
Total Debt+20.13M21.9M20.84M22.15M22.67M40.01M159.47M154.65M136M16.65M
Net Debt-68.27M-72.84M18.99M19.66M20.97M22.22M140M142.67M124.67M-28.71M
Debt / Equity0.11x0.14x0.13x0.13x0.13x0.20x0.43x0.53x0.47x0.07x
Debt / EBITDA--46.94x1.34x1.16x3.12x51.14x---
Net Debt / EBITDA--42.76x1.19x1.07x1.74x44.90x---
Interest Coverage-13.76x-2.08x-3.74x6.10x8.42x3.12x-4.32x-13.49x--
Total Equity+176M160.81M162.98M166.21M181.19M204.59M370.17M292.11M292.12M233.09M
Equity Growth %-0.32%-0.09%0.01%0.02%0.09%0.13%0.81%-0.21%0%-0.2%
Book Value per Share5.375.275.405.495.826.5510.377.857.796.09
Total Shareholders' Equity176M160.81M162.98M166.21M181.19M204.59M370.17M292.11M292.12M233.09M
Common Stock3K3K3K3K3K4K4K4K4K4K
Retained Earnings-299.17M-309.72M-310.39M-304.58M-288.59M-286.1M-263.34M-336.84M-350.74M-406.86M
Treasury Stock-7.32M-12.4M-12.41M-18.1M-22.27M-23.79M-24.44M-32.71M-32.93M-33.11M
Accumulated OCI-1.21M-1M499K477K-303K500K-5.05M-17.68M-15.41M-24.53M
Minority Interest0000000000

Cash Flow

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+3.67M4.81M-8.92M11.39M9.52M29.39M-304K14.61M31.92M-7.3M
Operating CF Margin %0.02%0.03%-0.05%0.05%0.04%0.13%-0%0.05%0.11%-0.03%
Operating CF Growth %1.13%0.31%-2.85%2.28%-0.16%2.09%-1.01%49.06%1.19%-1.23%
Net Income-75.97M-8.98M-673K7.3M18.97M5.54M26.09M-69.78M-10.15M-52.29M
Depreciation & Amortization5.57M3.34M5.26M8.3M8.1M8.87M15.82M22.95M20.35M13.82M
Stock-Based Compensation449K227K1.18M2.65M2.95M6.79M9.48M11.36M5.29M5.83M
Deferred Taxes50.4M-512K-5.48M-1.1M-8.99M-3.2M-14.42M-9.52M-6.35M16.18M
Other Non-Cash Items22.4M2.26M245K650K1.07M1.31M1.15M96.59M3.16M8.74M
Working Capital Changes817K8.47M-9.46M-6.41M-12.58M10.07M-38.42M-36.99M19.62M416K
Change in Receivables1.73M2.77M-8.67M-766K-6.16M-7.67M-6.46M-8.33M6.08M10.84M
Change in Inventory-558K5.38M1.36M-7.2M-9.14M11.01M-34.07M-19.49M13.21M3.74M
Change in Payables-3.25M-1.28M-137K1.7M1.22M5.87M2.75M1.37M-4.94M-7.96M
Cash from Investing+58.41M6.77M-82.03M-4.08M-4.1M-35.58M-178.14M-7.75M-11.42M165.16M
Capital Expenditures-2.8M-2.57M-2.85M-3.37M-4.12M-5.41M-17.38M-8.25M-5.72M-6.74M
CapEx % of Revenue0.02%0.02%0.02%0.02%0.02%0.02%0.07%0.03%0.02%0.03%
Acquisitions----------
Investments----------
Other Investing335K22K53K6K20K327K229K-1.76M-51K65K
Cash from Financing+-4.5M-5.22M-2.06M-6.56M-6.29M22.25M180.68M-13.86M-20.25M-123.24M
Debt Issued (Net)----------
Equity Issued (Net)----------
Dividends Paid000-1.49M-2.99M-1.52M-3.33M-3.72M-3.75M-3.83M
Share Repurchases----------
Other Financing264K0179K-1.03M291K1.75M-212K393K3.44M565K
Net Change in Cash----------
Free Cash Flow+865K2.24M-11.77M8.03M5.41M23.98M-17.69M6.36M25.96M-14.04M
FCF Margin %0.01%0.02%-0.07%0.04%0.02%0.11%-0.07%0.02%0.09%-0.05%
FCF Growth %1.03%1.59%-6.24%1.68%-0.33%3.44%-1.74%1.36%3.08%-1.54%
FCF per Share0.030.07-0.390.270.170.77-0.500.170.69-0.37
FCF Conversion (FCF/Net Income)-0.05x-0.54x13.25x1.56x0.50x5.30x-0.01x-0.21x-3.15x0.14x
Interest Paid00598K950K1.09M970K2.25M6.59M01.96M
Taxes Paid00931K418K209K426K1.98M8.64M02.46M

Key Ratios

Metric2015201620172018201920202021202220232024
Return on Equity (ROE)-35.8%-5.33%-0.42%4.44%10.92%2.87%9.08%-21.07%-3.47%-19.91%
Return on Invested Capital (ROIC)-16.03%-4.58%-2.68%3.33%4.42%1.38%-2.59%-16.9%-3.72%-16.99%
Gross Margin36.29%29.48%31.53%34.86%34.99%34.73%33.04%34.88%34.09%35.04%
Net Margin-51.87%-6.06%-0.39%3.44%8.27%2.48%9.81%-22.13%-3.55%-19.78%
Debt / Equity0.11x0.14x0.13x0.13x0.13x0.20x0.43x0.53x0.47x0.07x
Interest Coverage-13.76x-2.08x-3.74x6.10x8.42x3.12x-4.32x-13.49x--
FCF Conversion-0.05x-0.54x13.25x1.56x0.50x5.30x-0.01x-0.21x-3.15x0.14x
Revenue Growth-22.61%-0.86%15.18%24.29%8.15%-2.37%18.73%18.53%-9.27%-7.59%

Revenue by Segment

20172018201920202021202220232024
Outdoor----220.83M222.34M-183.57M
Outdoor Growth-----0.69%--
Adventure----45.14M92.91M-80.75M
Adventure Growth-----105.82%--
International Sales Revenue------173.63M-
International Sales Revenue Growth--------
Domestic Sales Revenue------112.39M-
Domestic Sales Revenue Growth--------
Precision Sport----109.82M132.85M--
Precision Sport Growth-----20.97%--
Black Diamond160.33M176.75M199.95M171.23M----
Black Diamond Growth-10.24%13.13%-14.36%----
Sierra10.36M35.4M29.49M52.78M----
Sierra Growth-241.78%-16.68%78.96%----

Frequently Asked Questions

Growth & Financials

Clarus Corporation (CLAR) reported $256.4M in revenue for fiscal year 2024. This represents a 76% increase from $145.8M in 2011.

Clarus Corporation (CLAR) saw revenue decline by 7.6% over the past year.

Clarus Corporation (CLAR) reported a net loss of $80.8M for fiscal year 2024.

Dividend & Returns

Yes, Clarus Corporation (CLAR) pays a dividend with a yield of 2.61%. This makes it attractive for income-focused investors.

Clarus Corporation (CLAR) has a return on equity (ROE) of -19.9%. Negative ROE indicates the company is unprofitable.

Clarus Corporation (CLAR) had negative free cash flow of $7.1M in fiscal year 2024, likely due to heavy capital investments.

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