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Deswell Industries, Inc. (DSWL) 10-Year Financial Performance & Capital Metrics

DSWL • • Industrial / General
TechnologyTech Hardware & EquipmentElectronic Manufacturing Services (EMS)Contract Electronics Manufacturing
AboutDeswell Industries, Inc. manufactures and sells injection-molded plastic parts and components, electronic products and subassemblies, and metallic molds and accessory parts for original equipment manufacturers and contract manufacturers. It operates in two segments, Plastic Injection Molding and Electronic Products Assembling. The company produces a range of plastic parts and components that are used in the manufacture of consumer and industrial products, which include plastic components for electronic entertainment products, power tools, accessories, and outdoor equipment; cases for flashlights, telephones, printers, scanners; parts for industrial components, and indoor control switches, as well as parts for audio equipment, and cases and key tops for personal organizers and remote controls; double injection caps; parts for medical products comprising apparatus for blood tests; laser key caps; automobile components; and plastic components of automatic robot. It also provides electronic products that consist of audio equipment, including digital and analogue mixing consoles, amplifiers, signal processors, audio interfaces, network audio equipment, and speaker enclosures; consumer audio products, such as multi-channel receivers-amplifiers, and wired and wireless audio streaming products; printed circuit board assemblies; and IoT products. The company sells its products primarily in China, the United States, Hong Kong, the United Kingdom, Norway, Holland, Canada, and internationally. Deswell Industries, Inc. was founded in 1987 and is based in Macau.Show more
  • Revenue $68M -2.5%
  • EBITDA $5M -8.9%
  • Net Income $11M +44.5%
  • EPS (Diluted) 0.70 +45.8%
  • Gross Margin 20.18% +0.7%
  • EBITDA Margin 7.15% -6.6%
  • Operating Margin 4.9% -10.2%
  • Net Margin 16.47% +48.2%
  • ROE 11.35% +35.3%
  • ROIC 3.26% -16.2%
  • Debt/Equity -
  • Interest Coverage -
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Strong Piotroski F-Score: 7/9
  • ✓FCF machine: 19.5% free cash flow margin
  • ✓High quality earnings: Operating CF exceeds net income
  • ✓Healthy dividend yield of 5.8%
  • ✓Healthy 5Y average net margin of 10.5%
  • ✓Trading at only 0.5x 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

10Y5.91%
5Y0.68%
3Y-7.52%
TTM-15.98%

Profit (Net Income) CAGR

10Y-
5Y-
3Y10.6%
TTM80.89%

EPS CAGR

10Y-
5Y-
3Y11.13%
TTM81.45%

ROCE

10Y Avg1.02%
5Y Avg3.52%
3Y Avg3.55%
Latest3.36%

Peer Comparison

Contract Electronics Manufacturing
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Sector-Specific
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JBLJabil Inc.26.73B253.1842.773.18%2.26%52.19%4.38%2.22
SANMSanmina Corporation9.52B174.4039.107.4%3.03%9.68%5.03%0.12
FLEXFlex Ltd.24.62B66.5931.56-2.28%3.33%17.4%4.33%0.83
BHEBenchmark Electronics, Inc.1.77B49.5328.80-6.44%1.43%3.36%8.83%0.33
DSWLDeswell Industries, Inc.54.98M3.454.93-2.53%13.76%18.46%24.01%

Profit & Loss

Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Sales/Revenue+44.57M44.52M60.67M66.58M65.37M64.89M85.49M77.54M69.37M67.61M
Revenue Growth %0.17%-0%0.36%0.1%-0.02%-0.01%0.32%-0.09%-0.11%-0.03%
Cost of Goods Sold+39.77M37.07M50.95M56.31M53.5M51.72M71.54M64.7M55.47M53.97M
COGS % of Revenue0.89%0.83%0.84%0.85%0.82%0.8%0.84%0.83%0.8%0.8%
Gross Profit+4.79M7.45M9.71M10.27M11.86M13.17M13.95M12.84M13.9M13.64M
Gross Margin %0.11%0.17%0.16%0.15%0.18%0.2%0.16%0.17%0.2%0.2%
Gross Profit Growth %0.39%0.55%0.3%0.06%0.16%0.11%0.06%-0.08%0.08%-0.02%
Operating Expenses+10.14M9.55M7.91M9.63M10.45M9.9M11.06M9.95M10.12M10.33M
OpEx % of Revenue0.23%0.21%0.13%0.14%0.16%0.15%0.13%0.13%0.15%0.15%
Selling, General & Admin9.12M8.86M8.81M9.46M10.03M10.31M11.14M10.97M10.5M11.28M
SG&A % of Revenue0.2%0.2%0.15%0.14%0.15%0.16%0.13%0.14%0.15%0.17%
Research & Development0000000000
R&D % of Revenue----------
Other Operating Expenses571K3.69M-894K174K425K-405K-74K-1.01M-383K-951K
Operating Income+-5.35M-2.1M1.8M-1.63M1.41M3.26M2.76M2.89M3.79M3.31M
Operating Margin %-0.12%-0.05%0.03%-0.02%0.02%0.05%0.03%0.04%0.05%0.05%
Operating Income Growth %-0.04%0.61%1.86%-1.91%1.86%1.31%-0.15%0.05%0.31%-0.12%
EBITDA+-2.97M32K3.94M480K3.39M5.02M4.5M4.6M5.31M4.83M
EBITDA Margin %-0.07%0%0.06%0.01%0.05%0.08%0.05%0.06%0.08%0.07%
EBITDA Growth %-0.28%1.01%122.13%-0.88%6.05%0.48%-0.1%0.02%0.15%-0.09%
D&A (Non-Cash Add-back)2.37M2.13M2.14M2.11M1.97M1.75M1.74M1.71M1.52M1.52M
EBIT-4.6M-1.78M1.58M408K1.54M8.71M8.07M3.13M7.82M2.43M
Net Interest Income+498K319K267K184K218K235K245K282K669K1.05M
Interest Income498K319K267K184K218K235K245K282K669K1.05M
Interest Expense0000000000
Other Income/Expense571K3.69M4.39M3.88M-2.36M5.45M5.31M-573K4.03M7.99M
Pretax Income+-4.78M1.58M6.2M4.42M-947K8.71M8.07M2.31M7.82M11.3M
Pretax Margin %-0.11%0.04%0.1%0.07%-0.01%0.13%0.09%0.03%0.11%0.17%
Income Tax+158K209K7K144K373K475K-165K255K110K162K
Effective Tax Rate %1.03%0.87%1%0.97%1.39%0.95%1.02%0.89%0.99%0.99%
Net Income+-4.93M1.38M6.19M4.27M-1.32M8.23M8.23M2.06M7.71M11.14M
Net Margin %-0.11%0.03%0.1%0.06%-0.02%0.13%0.1%0.03%0.11%0.16%
Net Income Growth %-0.76%1.28%3.5%-0.31%-1.31%7.24%0%-0.75%2.74%0.44%
Net Income (Continuing)-4.93M1.38M6.19M4.27M-1.32M8.23M8.23M2.06M7.71M11.14M
Discontinued Operations0000000000
Minority Interest0000000000
EPS (Diluted)+-0.310.090.390.27-0.080.510.510.130.480.70
EPS Growth %-0.82%1.29%3.33%-0.31%-1.31%7.15%0%-0.75%2.69%0.46%
EPS (Basic)-0.310.090.390.27-0.080.520.520.130.480.70
Diluted Shares Outstanding16.06M16.04M15.98M16.06M15.91M16.05M16.14M16.07M16M15.95M
Basic Shares Outstanding15.92M16.04M15.88M15.88M15.91M15.91M15.93M15.94M15.94M15.94M
Dividend Payout Ratio-1.63%0.18%0.37%-0.35%0.39%1.55%0.41%0.29%

Balance Sheet

Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Total Current Assets+50.65M56.09M68.91M69.96M65.37M78.69M87.95M81.16M83.25M96.49M
Cash & Short-Term Investments30.89M29.83M32.47M39.19M42.74M45.3M43.88M46.98M57.91M75.5M
Cash Only12M8.08M15.19M14.37M22.51M20.22M13.46M22.16M15.75M28.13M
Short-Term Investments18.9M21.75M17.28M24.82M20.22M25.07M30.42M24.82M42.16M47.37M
Accounts Receivable9.47M13.16M16.09M16.16M12.3M15.16M18.34M15.7M12.18M10.14M
Days Sales Outstanding77.52107.8896.7988.6268.6985.378.2973.9264.154.72
Inventory8.11M10.69M12.93M13.03M8.58M16.19M23.82M17.32M12.13M9.46M
Days Inventory Outstanding74.46105.2392.6584.4658.52114.28121.5397.7379.8564
Other Current Assets2.03M1.76M1.75M809K1.32M1.19M978K720K623K897K
Total Non-Current Assets+36.92M34.89M31.49M30.21M30.01M27.66M27.59M29.22M27.82M23.72M
Property, Plant & Equipment32.35M31.99M31.49M30.21M28.59M27.32M27.02M26.05M24.6M23.39M
Fixed Asset Turnover1.38x1.39x1.93x2.20x2.29x2.37x3.16x2.98x2.82x2.89x
Goodwill0000000000
Intangible Assets000000015.7M00
Long-Term Investments4.57M2.9M001.42M332K313K2.91M2.8M0
Other Non-Current Assets000-30.21M00572K-28.96M00
Total Assets+87.57M90.99M100.4M100.17M95.38M107.86M115.54M110.38M111.08M120.21M
Asset Turnover0.51x0.49x0.60x0.66x0.69x0.60x0.74x0.70x0.62x0.56x
Asset Growth %-0.09%0.04%0.1%-0%-0.05%0.13%0.07%-0.04%0.01%0.08%
Total Current Liabilities+10.76M14.79M19.12M15.55M14.31M21.21M23.97M20.25M16.43M17.72M
Accounts Payable2.23M5.15M8.6M6.25M4.6M9.52M9.84M6.95M5.21M5.74M
Days Payables Outstanding20.4550.7261.5840.5331.4167.250.239.234.2938.82
Short-Term Debt0000000000
Deferred Revenue (Current)1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K
Other Current Liabilities3.21M2.84M03.62M2.45M02.95M1.99M00
Current Ratio4.71x3.79x3.60x4.50x4.57x3.71x3.67x4.01x5.07x5.45x
Quick Ratio3.95x3.07x2.93x3.66x3.97x2.95x2.68x3.15x4.33x4.91x
Cash Conversion Cycle131.54162.38127.86132.5495.8132.37149.62132.45109.6679.89
Total Non-Current Liabilities+3.65M7.3M775K659K751K957K659K484K476K371K
Long-Term Debt0000000000
Capital Lease Obligations0000000000
Deferred Tax Liabilities00775K659K751K957K659K484K476K371K
Other Non-Current Liabilities0000000000
Total Liabilities10.76M14.79M19.12M16.2M15.06M22.17M24.63M20.73M16.91M18.09M
Total Debt+0000000000
Net Debt-12M-8.08M-15.19M-14.37M-22.51M-20.22M-13.46M-22.16M-15.75M-28.13M
Debt / Equity----------
Debt / EBITDA----------
Net Debt / EBITDA--252.44x-3.86x-29.94x-6.65x-4.03x-3.00x-4.82x-2.97x-5.82x
Interest Coverage----------
Total Equity+76.81M76.2M81.28M83.96M80.32M85.69M90.91M89.65M94.17M102.12M
Equity Growth %-0.09%-0.01%0.07%0.03%-0.04%0.07%0.06%-0.01%0.05%0.08%
Book Value per Share4.784.755.085.235.055.345.635.585.896.40
Total Shareholders' Equity76.81M76.2M81.28M83.96M80.32M85.69M90.91M89.65M94.17M102.12M
Common Stock53.06M53.06M53.06M53.06M53.14M53.14M53.2M53.2M53.2M53.2M
Retained Earnings12.95M12.64M17.72M20.4M16.7M22.06M27.24M25.98M30.5M38.45M
Treasury Stock-2.51M-2.82M-2.82M-2.82M-2.82M-2.82M-2.82M-2.82M-2.82M-2.82M
Accumulated OCI5.3M5.32M5.32M5.32M5.32M5.32M5.32M5.32M5.32M5.32M
Minority Interest0000000000

Cash Flow

Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Cash from Operations+563K-1.13M5.7M2.17M13.12M3.3M-183K13M13.21M13.53M
Operating CF Margin %0.01%-0.03%0.09%0.03%0.2%0.05%-0%0.17%0.19%0.2%
Operating CF Growth %1.24%-3%6.05%-0.62%5.06%-0.75%-1.06%72.03%0.02%0.02%
Net Income-4.93M1.38M6.19M4.27M-1.32M8.23M8.36M2.06M7.71M11.14M
Depreciation & Amortization2.37M2.09M2.14M2.11M1.97M1.75M1.74M1.71M1.52M1.52M
Stock-Based Compensation199K000000000
Deferred Taxes21K64K-114K-116K92K206K-557K-178K-165K-21K
Other Non-Cash Items1.86M-1.78M296K256K6.2M-2.66M-1.98M3.26M-826K-4.87M
Working Capital Changes1.33M-3.07M-20K-3.12M6.18M-4.24M-7.75M6.15M4.97M5.76M
Change in Receivables95K-4.32M-2.08M-225K3.14M-2.8M-3.34M2.72M3.64M2.14M
Change in Inventory2.97M-2.51M-2.54M-353K4.03M-7.61M-7.6M6.38M5.22M2.72M
Change in Payables-1.12M2.92M3.44M-2.34M-1.65M4.92M316K-2.89M-1.74M530K
Cash from Investing+-1.21M-234K2.53M-1.4M-2.66M-2.72M-3.43M-1.11M-16.43M2.04M
Capital Expenditures-591K-2.2M-1.71M-878K-507K-551K-1.5M-792K-381K-332K
CapEx % of Revenue0.01%0.05%0.03%0.01%0.01%0.01%0.02%0.01%0.01%0%
Acquisitions----------
Investments----------
Other Investing1.67M1.52M3M-521K0000232K0
Cash from Financing+-1.69M-2.56M-1.11M-1.59M-2.32M-2.86M-3.14M-3.19M-3.19M-3.19M
Debt Issued (Net)----------
Equity Issued (Net)----------
Dividends Paid-1.69M-2.25M-1.11M-1.59M-2.39M-2.86M-3.19M-3.19M-3.19M-3.19M
Share Repurchases----------
Other Financing000064K00000
Net Change in Cash----------
Free Cash Flow+-28K-3.32M3.99M1.29M12.61M2.75M-1.69M12.21M12.83M13.2M
FCF Margin %-0%-0.07%0.07%0.02%0.19%0.04%-0.02%0.16%0.18%0.2%
FCF Growth %0.99%-117.71%2.2%-0.68%8.79%-0.78%-1.61%8.24%0.05%0.03%
FCF per Share-0.00-0.210.250.080.790.17-0.100.760.800.83
FCF Conversion (FCF/Net Income)-0.11x-0.82x0.92x0.51x-9.94x0.40x-0.02x6.31x1.71x1.22x
Interest Paid0000000000
Taxes Paid25K21K85K149K160K236K68K418K227K156K

Key Ratios

Metric2016201720182019202020212022202320242025
Return on Equity (ROE)-6.13%1.8%7.86%5.17%-1.61%9.92%9.32%2.28%8.39%11.35%
Return on Invested Capital (ROIC)-5.96%-2.37%2.01%-1.81%1.66%3.97%2.9%2.99%3.89%3.26%
Gross Margin10.75%16.73%16.01%15.42%18.15%20.29%16.32%16.56%20.04%20.18%
Net Margin-11.07%3.09%10.2%6.42%-2.02%12.69%9.63%2.66%11.11%16.47%
FCF Conversion-0.11x-0.82x0.92x0.51x-9.94x0.40x-0.02x6.31x1.71x1.22x
Revenue Growth17.05%-0.1%36.26%9.75%-1.82%-0.74%31.75%-9.3%-10.54%-2.53%

Revenue by Segment

20132014201520232025
Segment Total Member---77.56M-
Segment Total Member Growth-----
Electronic Products26.74M21.68M18.41M--
Electronic Products Growth--18.91%-15.10%--
Metallic Parts692K-1K--
Metallic Parts Growth-----
Segment Total55.21M41.6M---
Segment Total Growth--24.64%---
Injection Molded Plastic Parts27.77M19.92M---
Injection Molded Plastic Parts Growth--28.29%---

Revenue by Geography

20132014201520232025
CHINA22.5M15.86M16.12M27.74M22.45M
CHINA Growth--29.51%1.62%72.10%-19.08%
Europe5.52M6.2M3.5M13.29M12.55M
Europe Growth-12.18%-43.50%279.61%-5.60%
HONG KONG3.81M3.55M5.5M6.47M6.91M
HONG KONG Growth--6.90%55.07%17.53%6.77%
UNITED STATES17.15M11.08M9.91M12.17M6.08M
UNITED STATES Growth--35.40%-10.57%22.80%-50.03%
CANADA---4.7M3.88M
CANADA Growth-----17.39%
Segments Geographical Location Other3.17M2.52M2.02M--
Segments Geographical Location Other Growth--20.50%-19.95%--

Frequently Asked Questions

Valuation & Price

Deswell Industries, Inc. (DSWL) has a price-to-earnings (P/E) ratio of 4.9x. This may indicate the stock is undervalued or faces growth challenges.

Growth & Financials

Deswell Industries, Inc. (DSWL) reported $137.0M in revenue for fiscal year 2025. This represents a 111% increase from $64.8M in 2012.

Deswell Industries, Inc. (DSWL) saw revenue decline by 2.5% over the past year.

Yes, Deswell Industries, Inc. (DSWL) is profitable, generating $18.8M in net income for fiscal year 2025 (16.5% net margin).

Dividend & Returns

Yes, Deswell Industries, Inc. (DSWL) pays a dividend with a yield of 5.79%. This makes it attractive for income-focused investors.

Deswell Industries, Inc. (DSWL) has a return on equity (ROE) of 11.3%. This is reasonable for most industries.

Deswell Industries, Inc. (DSWL) generated $26.0M in free cash flow for fiscal year 2025. Positive FCF indicates the company can fund dividends, buybacks, or reinvestment.

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