Covista
NYSE:CVSA
$ 117,20
$-0,70 (-0,59%)
117,20 $
$-0,70 (-0,59%)
End-of-day quote: 04/06/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

$6,67
Earnings Per Share
$49,73
Revenue Per Share
56,86%
Gross Margin %
$4,07 B
Market Cap
$0,55 B
Long-Term Debt
Earnings Per Share
$6,67
Revenue Per Share
$49,73
Gross Margin %
56,86%
Market Cap
$4,07 B
Long-Term Debt
$0,55 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share $6,67 $5,01 $4,21 $3,24 $2,98 $2,28 $2,82 $2,78 $2,79 $2,41 $2,49 $2,62 $2,86 $3,22 $4,68 $3,87 $2,36 $1,77 $0,94 $0,61
Earnings Earnings $239,85M $188,83M $174,88M $146,45M $147,87M $118,29M $154,87M $166,61M $173,20M $150,26M $158,14M $166,89M $180,12M $206,47M $320,21M $273,76M $167,94M $126,40M $66,83M $43,19M
RPS Revenue Per Share $49,73 $42,04 $34,93 $30,69 $22,42 $20,28 $22,57 $20,54 $29,15 $29,57 $30,07 $30,19 $31,19 $32,59 $31,90 $27,07 $20,54 $15,29 $13,13 $11,91
Revenue Revenue $1,79B $1,58B $1,45B $1,39B $1,11B $1,05B $1,24B $1,23B $1,81B $1,84B $1,91B $1,92B $1,96B $2,09B $2,18B $1,92B $1,46B $1,09B $933,47M $843,30M
OCF Operating Cash Flow $337,90M $295,78M $202,91M $10,42M $192,20M $107,69M $204,86M $239,19M $227,96M $231,57M $203,11M $262,92M $263,95M $277,42M $407,99M $391,55M $249,53M $198,65M $125,18M $0,00M
FCF Free Cash Flow $287,57M $246,88M $165,90M $-20,63M $174,49M $105,43M $140,11M $172,66M $178,97M $162,17M $114,40M $183,57M $149,73M $148,37M $272,26M $0,00M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 19,33% 17,14% 15,60% 11,26% 16,55% 14,89% 16,79% 19,20% 16,61% 14,67% 10,56% 11,03% 12,51% 15,50% 23,22% 21,45% 16,68% 15,21% 9,40% 7,56%
GM % Gross Margin % 56,86% 55,92% 55,30% 52,25% 49,08% 47,24% 52,23% 53,33% 47,16% 47,32% 47,64% 62,34% 51,02% 53,62% 57,67% 56,87% 54,18% 53,92% 47,86% 46,03%
FCFS Free Cash Flow Per Share $7,75 $6,26 $3,70 $-0,42 $2,97 $1,27 $2,52 $3,13 $2,97 $2,81 $1,81 $2,90 $2,33 $2,26 $3,94 $3,65 $2,45 $1,91 $1,22 $0,93
LT Debt Long-Term Debt $552,67M $648,71M $695,08M $838,91M $1,08B $296,52M $398,09M $290,07M $125,00M N/A N/A N/A N/A N/A N/A N/A $20,00M N/A N/A $65,00M
Sha. Stocks 35,96M 37,69M 41,54M 45,2M 49,62M 51,88M 54,92M 59,93M 62,08M 62,35M 63,51M 63,7M 62,98M 64,12M 68,42M 70,74M 71,16M 71,41M 71,1M 70,81M
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