TOOTSIE ROLL INDUSTRIES INC TR

Latest FY: 2025 Consumer Defensive Confectioners
Market Price $40.79
Market Cap $3.02B
P/E Ratio N/A
Quick Peer Compare (Consumer Defensive):
Revenue (FY 2025) ↑1.3% YoY
$732.52M
3-Yr CAGR: 2.2%
Net Income ↑15.2% YoY
$100.05M
Net Margin: 13.7%
Free Cash Flow ↓-20.3% YoY
$96.35M
FCF Yield: 3.19%
EPS (Diluted)
N/A
Basic: $1.37
Return on Equity Efficiency
10.6%
ROA: 31.1%

📊 Multi-Year Historical Performance & Trends

Financial Performance History Revenue, Net Income & Free Cash Flow
Margins Trend (%) Gross, Operating & Net Margins
Balance Sheet Strength Cash, Debt & Equity
Cash Flow Generation Operating Cash Flow vs CapEx vs FCF

📈 Year-over-Year (YoY) Growth History (TR)

All monetary values in millions ($M)
Fiscal Year Revenue Revenue YoY Gross Profit Net Income Net Inc YoY Diluted EPS EPS YoY Op. Cash Flow Free Cash Flow FCF YoY
FY 2016 $521.1M $199.8M $67.5M $98.5M $82.5M
FY 2017 $519.3M -0.3% $192.4M $80.9M +19.8% $43.0M $26.3M -68.1%
FY 2018 $518.9M -0.1% $188.2M $56.9M -29.6% $100.9M $73.3M +178.8%
FY 2019 $527.1M +1.6% $197.0M $64.9M +14.1% $100.2M $80.0M +9.1%
FY 2020 $471.1M -10.6% $170.4M $59.0M -9.1% $74.7M $56.7M -29.0%
FY 2021 $570.8M +21.2% $199.2M $65.3M +10.7% $85.3M $53.9M -5.1%
FY 2022 $687.0M +20.4% $232.7M $75.9M +16.2% $72.1M $48.7M -9.6%
FY 2023 $769.4M +12.0% $256.8M $91.9M +21.0% $94.6M $67.8M +39.3%
FY 2024 $723.2M -6.0% $253.2M $86.8M -5.5% $138.9M $120.9M +78.3%
FY 2025 $732.5M +1.3% $258.4M $100.1M +15.2% $130.6M $96.4M -20.3%
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Valuation

Market Price $40.79
Market Cap $3.02B
Enterprise Value N/A
P/E Ratio N/A
P/B Ratio 3.25
FCF Yield 3.19%
Dividend Yield N/A
Shares Outstanding 75,060,000
%

Profitability & Margins

Gross Margin 35.28%
Operating Margin 13.78%
Net Margin 13.66%
Return on Equity (ROE) 10.63%
Return on Assets (ROA) 31.12%
Asset Turnover 2.28x
Revenue 3-Yr CAGR 2.16%
🛡️

Financial Health & Liquidity

Current Ratio 5.01
Cash Ratio 1.98
Debt / Equity N/A
Debt / Assets N/A
Cash & Equivalents $127.17M
Total Debt N/A
Book Value / Share $12.54
💧

Cash Flow Efficiency

Operating Cash Flow $130.61M
Capital Expenditures (CapEx) $34.26M
Free Cash Flow $96.35M
OCF / Revenue 17.83%
FCF / Revenue 13.15%
FCF 3-Yr CAGR 25.54%
🏷️

Per Share Metrics

EPS (Diluted) N/A
EPS (Basic) $1.37
Dividends / Share N/A
Book Value / Share $12.54
EPS YoY Growth N/A
🏛️

Balance Sheet (FY 2025)

Total Assets $321.47M
Total Liabilities $64.18M
Stockholders' Equity $940.97M
Current Assets $321.47M
Current Liabilities $64.18M