What is EME's Free Operating Cash Flow-To-Debt?

  EMCOR Group Inc ( EME ) |
1994 - 2021 (28 years)

Free Operating Cash Flow-To-Debt is 
-0.94 (1Y -649.8% )

EME Stock Price & Free Operating Cash Flow-To-Debt

Free Operating Cash Flow-To-Debt for EME competitors.
FIX PWR DY UTX FLR TPC IESC
Note: Stonk = Stock. Both words are used interchangeably. 🙂

Historical (All-Time) Stats for Free Operating Cash Flow-To-Debt

chevron_right 2021 -0.83 +22.4x *
( +11.9% / year avg)
chevron_left 1994 0.04
vertical_align_top Peak 27.64 +34.3x *
vertical_align_bottom Bottom -0.83
arrow_drop_up # Up Years 15 15 of 28
years up.
arrow_drop_down # Down Years 13
Up Years = Positive (0%+) YoY change
Down Years = Zero or Negative (0% or less) YoY change

Key Points (Stonk Price Comparison)

  • EME's stock price has rallied +6,010% from $1.14 in 1994 , or -2.42x faster than it's free operating cash flow-to-debt over the same period.
  • If EME grows it's stock at the same rate as it's free operating cash flow-to-debt (+11.9%/year) , it's stock price will grow +307% and hit $214.34 over the next 10 years.
  • EME's stock price has gone up 10 of the 15 years (+66%) it's free operating cash flow-to-debt were also up.
* A modified method (see: here) is used to calculate changes that involve negative numbers.
5-Year Change 🚀
+32.0%$9.2BNet Revenue (Sales)
+29.0%$7.9BCost of Revenue (Sales)
+52.9%$1.4BGross Profit Margin
+15.8%0.59Gross Profit Margin Ratio
+33.9%$896.3MSelling, General, and Administrative (SG&A)
+33.9%$896.3MTotal Operating Expenses
+29.5%$8.7BCost & Expenses
-42.6%$5.5MInterest Expense/Income, Net
-36.2%$48.0MDepreciation & Amortization (D&A)
+73.1%$516.0MEBITDA
+31.1%0.22EBITDA Margin
+110%$468.0MOperating Income
+59.1%0.2Operating Margin
+118%$466.2MPretax Income (Earnings)
+65.3%0.2Pretax Income (Earnings) Margin
+66.6%$126.4MProvision For Income Taxes
+147%$339.8MNet Income (Earnings)
+87.3%0.15Net Profit Margin
+171%6.19Earnings Per Share (EPS)
+174%6.16Earnings Per Share (EPS) Diluted
-9.89%$219.5MShares Outstanding
-10.1%$220.6MShares Outstanding (Diluted)
+93.4%$3.0BCash and Cash Equivalents
+93.4%$3.0BCash And Short-Term Investments
+30.3%$192.8MInventory
+93.9%$1.0BOther Current Assets
+56.8%$12.4BTotal Current Assets
+29.0%$628.8MPP&E
+2.27%$3.4BGoodwill
+25.3%$2.3BIntangible Assets
+10.4%$5.8BGoodwill and Intangible Assets
+46.7%$20.2BTotal Assets
+42.1%$2.5BAccounts Payables
+58.6%$8.4BTotal Current Liabilities
-94.3%$66.9MLong-term Debt
-97.4%$66.9MTotal Non-Current Liabilities
+49.6%$11.8BTotal Liabilities
+74.8%$10.2BRetained Earnings
+40.1%-$431.4MAccumulated Other Comprehensive Income Loss
+43.1%$8.5BTotal Shareholders Equity
+46.8%$20.2BTotal Liabilities & Stockholders Equity
-89.3%$133.7MTotal Debt
+796%-$2.9BNet Debt
-99.4%$56.0KDeferred Income Tax
+628%$218.1MChange in Working Capital
+53.1%$4.0BOther Working Capital
+139%-$356.0MNet Cash Provided by Operating Activities
-108.5%$3.1MInvestments in PP&E
+261%-$127.1MNet Cash used for Investing Activities
-76.3%-$4.6MDebt Repayment
+45.7%$6.9MCommon Stock Issued
-62.1%-$51.7MCommon Stock Repurchased
+46.0%-$28.5MDividends Paid
-49.4%-$95.8MNet Cash Used Provided by Financing Activities
+52.2%-$575.2MNet Change in Cash
+93.6%$3.0BCash at End of Period
+85.6%$3.6BCash at Beginning of Period
+139%-$356.0MOperating Cash Flow
-108.5%$3.1MCapital Expenditure (capex)
+91.1%-$352.9MFree Cash Flow
  • EME Historical Free Operating Cash Flow-To-Debt Table

    * A modified method (see: here) is used to calculate changes that involve negative numbers.
    Year Free Operating Cash Flow-To-Debt YoY % Change* Stock Price YoY % Change (Stock Price)
    4/1/2021 -0.83 -275.4% 69.63 -7.2%
    4/1/2020 0.47 45.3% 75.01 -13.8%
    4/1/2019 0.33 71.7% 87.05 9.6%
    4/1/2018 0.19 -40.7% 79.39 21.8%
    4/1/2017 0.32 52.2% 65.19 15.9%
    4/1/2016 0.21 3.8% 56.24 25.1%
    4/1/2015 0.2 22.1% 44.96 7.5%
    4/1/2014 0.17 -36.7% 41.84 15.7%
    4/1/2013 0.26 -5.5% 36.15 37.9%
    4/1/2012 0.28 39.0% 26.2 21.5%
    4/1/2011 0.2 182.5% 21.56 0.7%
    4/1/2010 0.07 -87.2% 21.4 -1.9%
    4/1/2009 0.55 48.2% 21.8 -32.0%
    4/1/2008 0.37 -95.1% 32.06 8.7%
    4/1/2007 7.57 -72.6% 29.5 21.7%
    4/1/2006 27.64 300.9% 24.24 86.9%
    4/1/2005 6.89 3398.4% 12.97 35.8%
    4/1/2004 0.2 63.5% 9.55 -7.9%
    4/1/2003 0.12 -85.9% 10.37 -19.2%
    4/1/2002 0.85 135.3% 12.82 39.8%
    4/1/2001 0.36 123.6% 9.17 61.1%
    4/1/2000 0.16 -17.9% 5.69 13.6%
    4/1/1999 0.2 -8.1% 5.01 67.2%
    4/1/1998 0.22 154.9% 3.0 -16.4%
    4/1/1997 0.08 -15.5% 3.59 3.4%
    4/1/1996 0.1 -1459.7% 3.47 91.9%
    4/1/1995 -0.01 -120.7% 1.81 58.7%
    4/1/1994 0.04 - 1.14 -

  • About
    Industry: Engineering & Construction
    Sector: Industrials
    Country: US
    IPO Date: 11/16/2000
    Stonk Exchange: NYSE
    • EMCOR Group, Inc
    • engages in the provision of electrical and mechanical construction and facilities services.
    • The company is headquartered in Norwalk, Connecticut and currently employs 33,000 full-time employees.
    • The firm provides building services and industrial services.
    • Its segments are United States electrical construction and facilities services; United States mechanical construction and facilities services; United States building services; United States industrial services, and United Kingdom building services.
    • As of December 31, 2016, its services were provided to a range of commercial, industrial, utility and institutional customers through approximately 75 operating subsidiaries and joint venture entities.
    • The company is providing construction services relating to electrical and mechanical systems in various types of non-residential and certain residential facilities, and in providing services relating to the operation, maintenance and management of facilities, including refineries and petrochemical plants.
    • The company operates various electrical and mechanical systems.
  • Free operating cash flow-to-debt = (CFO (adjusted) - Capital expenditures)/(Total debt)


    For more detailed definitions, please see Investopedia.
    Year Free Operating Cash Flow-To-Debt YoY % Change Stock Price YoY % Change (Stock Price) total debt capex operating cash flow
    4/1/2021 -0.83 -275.4% 69.63 -7.2% 599.98 -26.05 341.09
    4/1/2020 0.47 45.3% 75.01 -13.8% 2169.44 -46.78 725.61
    4/1/2019 0.33 71.7% 87.05 9.6% 1885.87 -50.63 447.64
    4/1/2018 0.19 -40.7% 79.39 21.8% 1219.56 -37.24 193.74
    4/1/2017 0.32 52.2% 65.19 15.9% 1675.07 -36.45 500.94
    4/1/2016 0.21 3.8% 56.24 25.1% 1680.79 -41.90 300.01
    4/1/2015 0.20 22.1% 44.96 7.5% 1313.51 -33.32 233.24
    4/1/2014 0.17 -36.7% 41.84 15.7% 1390.16 -39.06 191.02
    4/1/2013 0.26 -5.5% 36.15 37.9% 871.55 -32.52 210.46
    4/1/2012 0.28 39.0% 26.2 21.5% 622.80 -39.44 132.75
    4/1/2011 0.20 182.5% 21.56 0.7% 819.23 -24.88 157.95
    4/1/2010 0.07 -87.2% 21.4 -1.9% 646.69 -20.82 42.69
    4/1/2009 0.55 48.2% 21.8 -32.0% 792.50 -29.57 407.52
    4/1/2008 0.37 -95.1% 32.06 8.7% 805.68 -33.59 266.27
    4/1/2007 7.57 -72.6% 29.5 21.7% 952.94 -21.50 259.02
    4/1/2006 27.64 300.9% 24.24 86.9% 187.95 -19.73 209.34
    4/1/2005 6.89 3398.4% 12.97 35.8% 258.49 -15.04 148.09
    4/1/2004 0.20 63.5% 9.55 -7.9% 507.92 -14.33 91.15
    4/1/2003 0.12 -85.9% 10.37 -19.2% 667.49 -16.04 42.77
    4/1/2002 0.85 135.3% 12.82 39.8% 202.71 -18.23 117.52
    4/1/2001 0.36 123.6% 9.17 61.1% 433.72 -21.17 103.62
    4/1/2000 0.16 -17.9% 5.69 13.6% 486.77 -10.98 64.60
    4/1/1999 0.20 -8.1% 5.01 67.2% 515.33 -84.93 16.67
    4/1/1998 0.22 154.9% 3.0 -16.4% 613.70 -52.30 35.30
    4/1/1997 0.08 -15.5% 3.59 3.4% 420.32 -10.40 26.72
    4/1/1996 0.10 -1459.7% 3.47 91.9% 532.90 -5.70 42.90
    4/1/1995 -0.01 -120.7% 1.81 58.7% 675.87 -4.40 -9.20
    4/1/1994 0.04 1.14 244.27 -8.93 12.93