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Amcon Distributing Company (DIT)

Amcon Distributing Company (DIT)
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Company Info

Amcon Distributing Company 7405 IRVINGTON ROAD OMAHA NE 68122 USA

www.amcon.com P: 402-331-3727

Description:

AMCON is a leading wholesale distributor of consumer products, including beverages, candy, tobacco, groceries, food service, frozen and chilled foods, and health and beauty care products with distribution centers in Illinois, Missouri, Nebraska, North Dakota and South Dakota. The company operates through two segments: Wholesale Distribution and Retail Health Food. The Wholesale Distribution segment has five distribution centers that distribute the products to approximately 4,000 retailers, such as convenience stores, discount and general merchandise stores, grocery stores and supermarkets, drug stores, and gas stations, as well as serves institutional customers, including restaurants and bars, schools, sports complexes and vendors, and other wholesalers. The Retail Health Food segment operates retail health food stores, which carry natural supplements, groceries, health and beauty care products, and other food items. AMCON Distributing Company is based in Omaha, Nebraska.

Key Statistics

Overview:

Market Capitalization, $K 102,985
Enterprise Value, $K 264,055
Shares Outstanding, K 630
Annual Sales, $ 2,540 M
Annual Net Income, $ 11,600 K
Last Quarter Sales, $ 601,880 K
Last Quarter Net Income, $ 540 K
EBIT, $ 31,480 K
EBITDA, $ 39,060 K
60-Month Beta 0.55
% of Insider Shareholders 72.70%
% of Institutional Shareholders 11.14%
Float, K 172
% Float 27.30%
Short Volume Ratio 0.38

Growth:

1-Year Return -9.35%
3-Year Return 20.24%
5-Year Return 72.50%
5-Year Revenue Growth 92.09%
5-Year Earnings Growth 375.79%
5-Year Dividend Growth 472.00%

Per-Share Information:

Most Recent Earnings 0.89 on 04/18/24
Latest Earnings Date 04/16/24
Earnings Per Share ttm 14.16
EPS Growth vs. Prev Qtr -50.00%
EPS Growth vs. Prev Year -74.50%
Annual Dividend Rate, $ 1.18
Annual Dividend Yield 0.72%
Most Recent Dividend 0.180 on 05/02/24
Next Ex-Dividends Date 05/02/24
Dividend Payable Date 05/13/24
Dividend Payout Ratio 7.29%
Most Recent Split 1-6 on 05/18/04

DIT Ratios

Ratio
Price/Earnings ttm 11.86
Price/Earnings forward N/A
Price/Earnings to Growth N/A
Return-on-Equity % 8.11%
Return-on-Assets % 2.38%
Profit Margin % 0.46%
Debt/Equity 1.11
Price/Sales 0.04
Price/Cash Flow 4.98
Price/Book 0.92
Book Value/Share 171.35
Interest Coverage 3.02

DIT Dividends

Date Value
05/02/24 $0.1800
02/01/24 $0.1800
01/05/24 $0.2800
11/03/23 $0.1800
08/03/23 $0.1800
05/04/23 $0.1800
02/02/23 $0.1800
12/30/22 $5.0000
11/04/22 $0.1800
08/04/22 $0.1800
05/05/22 $0.1800
02/03/22 $0.1800
12/22/21 $5.0000
11/04/21 $0.1800
08/05/21 $0.1800
05/06/21 $0.1800
02/04/21 $0.1800
12/31/20 $5.0000
11/05/20 $0.1800
07/30/20 $0.1800
04/30/20 $0.1800
02/07/20 $0.1800
01/03/20 $0.2800
11/05/19 $0.1800
08/02/19 $0.1800
05/03/19 $0.1800
02/08/19 $0.1800
01/04/19 $0.2800
11/06/18 $0.1800
08/03/18 $0.1800
05/04/18 $0.1800
02/12/18 $0.1800
01/04/18 $0.2800
11/06/17 $0.1800
05/04/17 $0.1800
02/02/17 $0.1800
11/04/16 $0.1800
08/04/16 $0.1800
05/05/16 $0.1800
02/04/16 $0.1800
11/02/15 $0.1800
08/11/15 $0.1800
05/04/15 $0.1800
02/05/15 $0.1800
11/04/14 $0.1800
08/05/14 $0.1800
05/06/14 $0.1800
02/11/14 $0.1800
10/31/13 $0.1800
08/01/13 $0.1800
05/02/13 $0.1800
01/31/13 $0.1800
11/07/12 $0.1800
08/07/12 $0.1800
05/07/12 $0.1800
02/07/12 $0.1800
11/03/11 $0.1800
08/11/11 $0.1800
05/06/11 $0.1800
02/04/11 $0.1800
11/05/10 $0.1800
07/30/10 $0.1800
05/07/10 $0.1800
02/05/10 $0.1800
11/05/09 $0.1800
07/30/09 $0.1000
04/30/09 $0.1000
02/05/09 $0.1000
10/30/08 $0.1000
07/31/08 $0.0800
05/01/08 $0.0800
08/27/04 $0.1800
05/26/04 $0.1800
02/25/04 $0.0300
12/29/03 $0.0300
08/27/03 $0.0300
05/28/03 $0.0300
02/26/03 $0.0300
12/27/02 $0.0300
08/28/02 $0.0300
05/29/02 $0.0300
02/26/02 $0.0300
12/27/01 $0.0300
08/29/01 $0.0300
05/29/01 $0.0300
02/26/01 $0.0300
12/27/00 $0.0300
09/06/00 $0.0300
06/28/00 $0.0300
03/29/00 $0.0300
01/21/00 $0.0180
12/29/99 $0.0300
09/29/99 $0.0200
06/30/99 $0.0200
03/30/99 $0.0200
12/29/98 $0.0200
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