bf/NYSE:NGVT_icon.png

NYSE:NGVT

Ingevity Corporation

  • Stock

USD

Last Close

55.05

17/05 20:00

Market Cap

1.66B

Beta: 1.81

Volume Today

227.02K

Avg: 288.04K

PE Ratio

12.22

PFCF: 12.05

Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
118M
-
133M
12.71%
85M
36.09%
44.40M
47.76%
145.20M
227.03%
181.80M
25.21%
183.70M
1.05%
186.20M
1.36%
118.10M
36.57%
211.60M
79.17%
-5.40M
102.55%
depreciation and amortization
33M
-
33M
0%
35M
6.06%
38.80M
10.86%
40.40M
4.12%
57M
41.09%
85M
49.12%
100.20M
17.88%
109.90M
9.68%
108.80M
1.00%
141.40M
29.96%
deferred income tax
2M
-
3M
50%
10M
233.33%
-7.90M
179%
-25.70M
225.32%
900K
103.50%
14.80M
1,544.44%
16.20M
9.46%
-4.60M
128.40%
-5M
8.70%
-44.70M
794%
stock based compensation
1M
-
1M
0%
-5M
600%
4.70M
194%
10.10M
114.89%
12.50M
23.76%
12.30M
1.60%
8.40M
31.71%
12.30M
46.43%
16.10M
30.89%
10.60M
34.16%
change in working capital
-27M
-
-23M
14.81%
-61M
165.22%
13.80M
122.62%
-3.30M
123.91%
-9.70M
193.94%
-33.20M
242.27%
8.70M
126.20%
21.60M
148.28%
-66.80M
409.26%
-162.70M
143.56%
accounts receivables
-11M
-
-9M
18.18%
9M
200%
5.70M
36.67%
-9.50M
266.67%
-3M
68.42%
-15.30M
410.00%
2.80M
118.30%
-13.80M
592.86%
-42.10M
205.07%
42.70M
201.43%
inventory
-20M
-
-29M
45%
-25M
13.79%
-2.20M
91.20%
-6.60M
200%
-26.90M
307.58%
500K
101.86%
26.20M
5,140%
-55.80M
312.98%
-63.70M
14.16%
-75.60M
18.68%
accounts payables
14M
-
10M
28.57%
-22M
320%
-1.50M
93.18%
1.70M
213.33%
5.70M
235.29%
-6.20M
208.77%
9.40M
251.61%
14.80M
57.45%
42.70M
188.51%
-14.60M
134.19%
other working capital
-10M
-
5M
150%
-23M
560%
11.80M
151.30%
11.10M
5.93%
14.50M
30.63%
-12.20M
184.14%
-29.70M
143.44%
76.40M
357.24%
-3.70M
104.84%
-115.20M
3,013.51%
other non cash items
10M
-
-4M
140%
9M
325%
34.10M
278.89%
7.60M
77.71%
9.50M
25%
13.10M
37.89%
32.70M
149.62%
35.70M
9.17%
48.40M
35.57%
265.90M
449.38%
net cash provided by operating activities
137M
-
143M
4.38%
73M
48.95%
127.90M
75.21%
174.30M
36.28%
252M
44.58%
275.70M
9.40%
352.40M
27.82%
293M
16.86%
313.10M
6.86%
205.10M
34.49%
investments in property plant and equipment
-63M
-
-101M
60.32%
-102M
0.99%
-56.70M
44.41%
-52.60M
7.23%
-93.90M
78.52%
-114.80M
22.26%
-105.90M
7.75%
-103.80M
1.98%
-142.50M
37.28%
-109.80M
22.95%
acquisitions net
11M
-
-315.50M
-
-537.90M
70.49%
-344.50M
-
purchases of investments
-69.70M
-
-3M
95.70%
-2M
33.33%
-2M
0%
-2M
0%
-35.30M
1,665.00%
-77.40M
119.26%
-2.40M
96.90%
sales maturities of investments
1.10M
-
114.80M
10,336.36%
14.70M
-
31.50M
114.29%
other investing activites
-1M
-
-1M
0%
1M
200%
-3M
-
-4.10M
36.67%
-118.40M
2,787.80%
-2.70M
97.72%
-1.50M
44.44%
-4.20M
180%
3.40M
180.95%
net cash used for investing activites
-64M
-
-102M
59.38%
-90M
11.76%
-126.40M
40.44%
-58.60M
53.64%
-414.40M
607.17%
-658.30M
58.86%
-110.60M
83.20%
-140.60M
27.12%
-553.90M
293.95%
-77.30M
86.04%
debt repayment
-6M
-
-9.40M
56.67%
-111.90M
1,090.43%
-788.90M
-
-866.40M
9.82%
-25.30M
97.08%
-964.80M
3,713.44%
-7.70M
99.20%
common stock issued
4.10M
-
3.60M
12.20%
4.70M
30.56%
4.10M
12.77%
4.70M
14.63%
common stock repurchased
-6.60M
-
-47.40M
618.18%
-6.40M
86.50%
-88M
1,275%
-109.40M
24.32%
-145.20M
32.72%
-92.10M
36.57%
dividends paid
-4.10M
-
-3.60M
12.20%
-4.70M
30.56%
-4.10M
12.77%
other financing activites
-79M
-
-31M
60.76%
33M
206.45%
6M
81.82%
60.70M
911.67%
201.10M
231.30%
1.16B
479.07%
904.20M
22.35%
1.60M
99.82%
1.16B
72,281.25%
-4.80M
100.41%
net cash used provided by financing activities
-79M
-
-31M
60.76%
27M
187.10%
-3.40M
112.59%
-57.80M
1,600%
153.70M
365.92%
369.20M
140.21%
-50.20M
113.60%
-133.10M
165.14%
48.10M
136.14%
-99.90M
307.69%
effect of forex changes on cash
2M
-
-2M
200%
2M
200%
400K
80%
-500K
225%
-1.40M
180%
200K
114.29%
2.20M
1,000%
-1.70M
177.27%
-6M
252.94%
-300K
95%
net change in cash
-4M
-
8M
300%
12M
50%
-1.50M
112.50%
57.40M
3,926.67%
-10.10M
117.60%
-13.20M
30.69%
193.80M
1,568.18%
17.60M
90.92%
-198.70M
1,228.98%
19.20M
109.66%
cash at beginning of period
16M
-
12M
25%
20M
66.67%
32M
60%
30.50M
4.69%
87.90M
188.20%
77.80M
11.49%
64.60M
16.97%
258.40M
300%
276M
6.81%
77.30M
71.99%
cash at end of period
12M
-
20M
66.67%
32M
60%
30.50M
4.69%
87.90M
188.20%
77.80M
11.49%
64.60M
16.97%
258.40M
300%
276M
6.81%
77.30M
71.99%
96.50M
24.84%
operating cash flow
137M
-
143M
4.38%
73M
48.95%
127.90M
75.21%
174.30M
36.28%
252M
44.58%
275.70M
9.40%
352.40M
27.82%
293M
16.86%
313.10M
6.86%
205.10M
34.49%
capital expenditure
-63M
-
-101M
60.32%
-102M
0.99%
-56.70M
44.41%
-52.60M
7.23%
-93.90M
78.52%
-114.80M
22.26%
-105.90M
7.75%
-103.80M
1.98%
-142.50M
37.28%
-109.80M
22.95%
free cash flow
74M
-
42M
43.24%
-29M
169.05%
71.20M
345.52%
121.70M
70.93%
158.10M
29.91%
160.90M
1.77%
246.50M
53.20%
189.20M
23.25%
170.60M
9.83%
95.30M
44.14%

All numbers in USD (except ratios and percentages)