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Consolidated Water Co. Ltd. (CWCO) 10-Year Financial Performance & Capital Metrics

CWCO • • Utilities
UtilitiesWater UtilitiesSpecialized Water InfrastructureDesalination & Water Treatment
AboutConsolidated Water Co. Ltd., together with its subsidiaries, designs, constructs, manages, and operates water production and water treatment plants primarily in the Cayman Islands, the Bahamas, and the United States. The company operates through four segments: Retail, Bulk, Services, and Manufacturing. It uses reverse osmosis technology to produce potable water from seawater. The company produces and supplies water to end-users, including residential, commercial, and government customers, as well as government-owned distributors. It also provides design, engineering, construction, procurement, and management services for desalination projects and water treatment plants, as well as management and engineering services relating to municipal water distribution and treatment. In addition, the company manufactures and services a range of water-related products, including reverse osmosis desalination equipment, membrane separation equipment, filtration equipment, piping systems, vessels, and custom fabricated components; and provides design, engineering, consulting, management, inspection, training, and equipment maintenance services for commercial, municipal, and industrial water production, supply, and treatment, as well as desalination and wastewater treatment. Consolidated Water Co. Ltd. was incorporated in 1973 and is headquartered in Grand Cayman, the Cayman Islands.Show more
  • Revenue $134M -25.7%
  • EBITDA $25M -42.9%
  • Net Income $28M -4.6%
  • Free Cash Flow $63M +2276.7%
  • EBITDA Margin 18.64% -23.2%
  • Net Margin 21.08% +28.4%
  • ROE 13.87% -15.7%
  • Interest Coverage 179.53 -29.8%
  • Debt/Equity 0.02 +15.6%
  • Net Debt/EBITDA -3.84 -320.3%
  • CapEx / Revenue 20.13% +233.1%
  • CapEx Coverage 1.35 +85.0%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Company is almost debt free
  • ✓Strong 5Y profit CAGR of 18.3%
  • ✓Strong interest coverage of 179.5x
  • ✓Trading near 52-week high

✗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

10Y7.41%
5Y14.26%
3Y26.07%
TTM-17.62%

Profit (Net Income) CAGR

10Y16.25%
5Y18.32%
3Y218.31%
TTM-53.91%

EPS CAGR

10Y15.47%
5Y25.88%
3Y208.99%
TTM-54.07%

ROCE

10Y Avg6.08%
5Y Avg8.11%
3Y Avg11.57%
Latest8.86%

Peer Comparison

Desalination & Water Treatment
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Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
CWCOConsolidated Water Co. Ltd.598.38M37.5621.22-25.66%12.9%7.46%10.61%0.02

Profit & Loss

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Revenue+57.12M57.88M62.31M65.72M68.79M72.63M66.86M94.1M180.21M133.97M
Revenue Growth %-0.13%0.01%0.08%0.05%0.05%0.06%-0.08%0.41%0.92%-0.26%
Cost of Revenue34.19M33.62M36.87M38.98M40.52M45.86M43.36M63.75M118.28M88.34M
Gross Profit+22.93M24.25M25.43M26.74M28.27M26.77M23.51M30.36M61.93M45.62M
Gross Margin %----------
Gross Profit Growth %-0.01%0.06%0.05%0.05%0.06%-0.05%-0.12%0.29%1.04%-0.26%
Operating Expenses+14.87M22.11M21.72M18.77M16.56M18.42M21.5M21.08M24.76M27.34M
Other Operating Expenses----------
EBITDA+14.12M9.38M9.57M15.01M18.92M15.75M8.93M15.46M43.74M24.98M
EBITDA Margin %----------
EBITDA Growth %0.18%-0.34%0.02%0.57%0.26%-0.17%-0.43%0.73%1.83%-0.43%
Depreciation & Amortization+5.68M7.24M7.29M7.03M7.2M7.41M6.92M6.19M6.58M6.69M
D&A / Revenue %----------
Operating Income (EBIT)+8.44M2.14M2.28M7.98M11.72M8.35M2.01M9.27M37.17M18.28M
Operating Margin %----------
Operating Income Growth %0.31%-0.75%0.06%2.5%0.47%-0.29%-0.76%3.61%3.01%-0.51%
Interest Expense+269.09K104.05K6.81K8.43K1.33K9.67K10.25K46.55K145.28K101.85K
Interest Coverage31.35x20.55x334.41x946.49x8797.47x863.33x196.23x199.21x255.83x179.53x
Interest / Revenue %----------
Non-Operating Income-510K103.57K1000K1000K786.55K1000K1000K464.81K828.31K1000K
Pretax Income+7.93M2.24M4.84M10.72M12.5M9.43M3.63M9.74M38M20.68M
Pretax Margin %----------
Income Tax+449.15K-536.06K-888.98K-157.29K66.62K86.72K-447.98K396.74K6.75M2.22M
Effective Tax Rate %----------
Net Income+7.52M3.96M6.14M11.29M12.18M3.71M875.58K5.86M29.59M28.24M
Net Margin %----------
Net Income Growth %0.2%-0.47%0.55%0.84%0.08%-0.7%-0.76%5.69%4.05%-0.05%
EPS (Diluted)+0.510.270.410.750.560.610.060.611.861.77
EPS Growth %0.21%-0.47%0.52%0.83%-0.25%0.09%-0.9%9.17%2.05%-0.05%
EPS (Basic)0.510.270.410.750.570.620.060.611.881.78
Diluted Shares Outstanding14.83M14.94M15.01M15.07M15.14M15.22M15.31M15.4M15.87M15.94M

Balance Sheet

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Total Assets+161.62M163.6M165.48M172.52M192.29M179.56M176.35M193.01M218.44M243.31M
Asset Growth %0.01%0.01%0.01%0.04%0.11%-0.07%-0.02%0.09%0.13%0.11%
PP&E (Net)+55.67M53.97M52.35M64.9M67.02M59.46M56.34M58.29M58.51M60.77M
PP&E / Total Assets %----------
Total Current Assets+65.43M60.88M66.69M62.36M73.44M72.93M77.06M92.57M112.71M157.79M
Cash & Equivalents44.79M39.25M47.18M31.34M42.9M43.79M40.36M50.71M42.62M99.35M
Receivables1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K
Inventory1.92M2.31M1.74M2.23M3.29M3.21M2.5M5.73M6.04M8.96M
Other Current Assets428.2K02.23M1.96M1.62M1.51M1.3M6.17M4.27M5.43M
Long-Term Investments4.55M4.09M2.78M2.58M1.9M2.09M1.72M1.55M1.41M1.5M
Goodwill3.5M9.78M8.38M8M13.33M13.33M10.43M10.43M12.86M12.86M
Intangible Assets771.81K5.2M3.77M1.89M5.04M4.15M3.4M2.82M3.35M2.7M
Other Assets7.37M7M10.21M8.61M7.39M27.37M27.41M26.38M29.58M7.7M
Total Liabilities13.42M9.5M9.46M8.76M14.34M10.54M10.69M25.24M26.61M28M
Total Debt+7M490K686K04.67M1.61M2.94M2.47M2.67M3.46M
Net Debt-37.79M-38.76M-46.5M-31.34M-38.23M-42.19M-37.41M-48.24M-39.95M-95.89M
Long-Term Debt000061.15K126.34K152.04K216.12K191.19K70.32K
Short-Term Borrowings1000K490K686K017.75K42.21K62.49K114.96K192.03K126.32K
Capital Lease Obligations00004.59M1.44M2.73M2.14M2.28M3.27M
Total Current Liabilities+13.16M6.68M7.63M7.9M7.9M6.94M7.69M22.66M23.9M24.94M
Accounts Payable4.83M4.9M2.09M4.57M3.5M2.74M2.83M8.44M11.6M9.06M
Accrued Expenses0000000000
Deferred Revenue189.99K102.97K1.26K109.94K339.62K577.81K1.1M9.12M6.55M9.49M
Other Current Liabilities002.11M1.93M2M1.62M1.62M2.66M3.52M3.85M
Deferred Taxes01000K1000K659.87K1000K1000K564.53K560.31K530.78K210.89K
Other Liabilities224.83K904.83K803.31K199.83K3.42M1.05M148.82K219.11K153K153K
Total Equity+148.2M154.11M156.02M163.76M177.95M169.01M165.67M167.76M191.83M215.31M
Equity Growth %0.03%0.04%0.01%0.05%0.09%-0.05%-0.02%0.01%0.14%0.12%
Shareholders Equity145.04M145.6M147.93M154.97M163.76M160.91M157.58M159.67M186.83M209.96M
Minority Interest3.15M8.5M8.09M8.78M14.19M8.1M8.09M8.1M5M5.35M
Common Stock8.87M8.92M8.95M8.99M9.03M9.09M9.15M9.19M9.46M9.51M
Additional Paid-in Capital84.6M85.62M86.41M87.21M88.36M86.89M87.81M89.21M92.19M93.55M
Retained Earnings52.08M51.59M53.11M59.3M66.35M64.91M60.6M61.25M85.15M106.88M
Accumulated OCI-533.37K-549.55K-549.55K-549.55K000000
Return on Assets (ROA)0.05%0.02%0.04%0.07%0.07%0.02%0%0.03%0.14%0.12%
Return on Equity (ROE)0.05%0.03%0.04%0.07%0.07%0.02%0.01%0.04%0.16%0.14%
Debt / Equity0.05x0.00x0.00x-0.03x0.01x0.02x0.01x0.01x0.02x
Debt / Assets0.04%0%0%-0.02%0.01%0.02%0.01%0.01%0.01%
Net Debt / EBITDA-2.68x-4.13x-4.86x-2.09x-2.02x-2.68x-4.19x-3.12x-0.91x-3.84x
Book Value per Share9.9910.3110.410.8611.7611.110.8210.8912.0913.51

Cash Flow

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+17.32M7.82M13.64M9.05M15.2M17.34M6.97M21.33M7.97M36.52M
Operating CF Growth %-0.1%-0.55%0.74%-0.34%0.68%0.14%-0.6%2.06%-0.63%3.58%
Operating CF / Revenue %----------
Net Income7.93M2.78M5.73M10.87M13.73M8.61M3.45M8.23M30.67M17.88M
Depreciation & Amortization5.68M7.26M7.47M7.03M7.21M7.41M6.92M6.19M6.58M6.69M
Deferred Taxes1.11M-536.06K-888.98K-365.02K-239.85K-221.83K-649.53K-4.22K-525K-319.89K
Other Non-Cash Items179.35K4.29M2.05M1.57M-3.55M210.19K2.69M1.02M1.91M521.51K
Working Capital Changes2.01M-6.49M-1.52M-10.92M-3.14M1.33M-5.45M5.9M-30.67M11.74M
Capital Expenditures+-3.11M-3.46M-4.58M-18.86M-3.53M-11.13M-3.94M-7.54M-10.89M26.96M
CapEx / Revenue %----------
CapEx / D&A----------
CapEx Coverage (OCF/CapEx)----------
Cash from Investing+-2.06M-2.78M-1.44M-17.41M1.49M-11.12M-3.94M-4.98M-10.89M26.96M
Acquisitions10.16K-7.74M-7.74T51.59K3.82M8.64K45.56K61.73K-5.84M446.34K
Purchase of Investments-5.64M00-2.66M00000-50K
Sale of Investments1000K1000K00000000
Other Investing1.69M2.79M7.74T1.45M1.19M0-2.5M2.5M033.26M
Cash from Financing+-6.18M-10.58M-4.27M-5.79M-5.12M-5.17M-5.86M-6.3M-5.52M-6.71M
Dividends Paid-4.43M-4.45M-4.48M-5.1M-5.12M-5.15M-5.8M-5.16M-5.49M-6.3M
Dividend Payout Ratio %0.59%1.12%0.73%0.45%0.42%1.38%5.88%0.88%0.18%0.22%
Debt Issuance (Net)-1000K-1000K196K-686K0-32.64K-49.73K-72.09K-135.48K-186.59K
Stock Issued0000010.16K17.06K26.74K99.76K23.75K
Share Repurchases00000-1.73K-16.8K-226-1.83K-14.61K
Other Financing255.29K386.19K012.98K15.82K0-11.02K-1.1M0-232.1K
Net Change in Cash+9.08M-5.54M7.93M-14.15M11.57M1.72M-3.44M10.35M-8.09M56.73M
Exchange Rate Effect-3.25K8061000K00677.46K-595.92K307.8K350.97K-36.58K
Cash at Beginning35.71M44.79M39.25M45.48M31.34M42.07M43.79M40.36M50.71M42.62M
Cash at End44.79M39.25M47.18M31.34M42.9M43.79M40.36M50.71M42.62M99.35M
Free Cash Flow+14.21M4.36M9.07M-9.81M11.68M6.21M3.02M13.79M-2.92M63.48M
FCF Growth %5.95%-0.69%1.08%-2.08%2.19%-0.47%-0.51%3.56%-1.21%22.77%
FCF Margin %----------
FCF / Net Income %----------

Key Ratios

Metric2015201620172018201920202021202220232024
Return on Equity (ROE)5.14%2.62%3.96%7.06%7.13%2.14%0.52%3.51%16.45%13.87%
EBITDA Margin24.71%16.21%15.35%22.84%27.5%21.69%13.36%16.43%24.27%18.64%
Net Debt / EBITDA-2.68x-4.13x-4.86x-2.09x-2.02x-2.68x-4.19x-3.12x-0.91x-3.84x
Interest Coverage31.35x20.55x334.41x946.49x8797.47x863.33x196.23x199.21x255.83x179.53x
CapEx / Revenue5.45%5.98%7.35%28.69%5.13%15.32%5.9%8.02%6.04%20.13%
Dividend Payout Ratio58.75%111.94%72.67%45.09%41.87%138.32%588.37%87.87%18.5%22.26%
Debt / Equity0.05x0.00x0.00x-0.03x0.01x0.02x0.01x0.01x0.02x
EPS Growth21.43%-47.06%51.85%82.93%-25.33%8.93%-90.16%916.67%204.92%-4.84%

Revenue by Segment

2015201620172018201920202021202220232024
Services revenue--------97.97M50.96M
Services revenue Growth----------47.99%
Bulk revenue------26.8M-34.6M33.67M
Bulk revenue Growth----------2.66%
Retail revenue--------30.16M31.74M
Retail revenue Growth---------5.25%
Operations and Maintenance--------19.37M29.31M
Operations and Maintenance Growth---------51.32%
Manufacturing revenue--------17.49M17.6M
Manufacturing revenue Growth---------0.59%
Bulk53.49M49.14M52.69M31.03M26.99M24.31M26.8M32.99M--
Bulk Growth--8.14%7.23%-41.10%-13.04%-9.91%10.23%23.10%--
Services3.64M8.57M939.14K1.81M1.76M12.94M13.88M28.84M--
Services Growth-135.54%-89.04%92.87%-2.87%635.34%7.32%107.68%--
Retail34.18M33.8M33.6M25.62M26.46M-22.1M25.95M--
Retail Growth--1.11%-0.60%-23.74%3.26%--17.41%--
Manufacturing Units--11.95M7.26M13.59M12.43M4.07M6.32M--
Manufacturing Units Growth----39.30%87.32%-8.58%-67.22%55.28%--
Segment Retail-----22.95M----
Segment Retail Growth----------

Revenue by Geography

2015201620172018201920202021202220232024
United States------17.49M33.34M106.77M66.66M
United States Growth-------90.62%220.26%-37.56%
Cayman Islands------24.94M30.38M41.73M37.14M
Cayman Islands Growth-------21.82%37.37%-11.00%
K----30.33M25.64M----
K Growth------15.45%----
U----14.97M24.92M----
U Growth-----66.47%----
V----382.65K415.28K----
V Growth-----8.53%----
I----131-----
I Growth----------
KENTUCKY---34.62M------
KENTUCKY Growth----------
UNITED STATES---7.26M------
UNITED STATES Growth----------
VIRGIN ISLANDS, BRITISH---445.19K------
VIRGIN ISLANDS, BRITISH Growth----------
INDONESIA---153.23K------
INDONESIA Growth----------
BELIZE2.42M2.61M2.94M-------
BELIZE Growth-7.94%12.42%-------

Frequently Asked Questions

Valuation & Price

Consolidated Water Co. Ltd. (CWCO) has a price-to-earnings (P/E) ratio of 21.2x. This is roughly in line with market averages.

Growth & Financials

Consolidated Water Co. Ltd. (CWCO) reported $130.8M in revenue for fiscal year 2024. This represents a 137% increase from $55.2M in 2011.

Consolidated Water Co. Ltd. (CWCO) saw revenue decline by 25.7% over the past year.

Yes, Consolidated Water Co. Ltd. (CWCO) is profitable, generating $16.9M in net income for fiscal year 2024 (21.1% net margin).

Dividend & Returns

Yes, Consolidated Water Co. Ltd. (CWCO) pays a dividend with a yield of 1.05%. This makes it attractive for income-focused investors.

Consolidated Water Co. Ltd. (CWCO) has a return on equity (ROE) of 13.9%. This is reasonable for most industries.

Consolidated Water Co. Ltd. (CWCO) generated $12.6M in free cash flow for fiscal year 2024. Positive FCF indicates the company can fund dividends, buybacks, or reinvestment.

Industry Metrics

Consolidated Water Co. Ltd. (CWCO) has a dividend payout ratio of 22%. This suggests the dividend is well-covered and sustainable.

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