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Invacare Corp (IVC)

Invacare Corp (IVC)

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Company Info

Invacare Corp ONE INVACARE WAY ELYRIA OH 44036 USA

P: 440-329-6000 F: 877-619-7996

Description:

Invacare Corporation is a leading manufacturer and distributor in its markets for medical equipment used in non-acute care settings. At its core, the company designs, manufactures and distributes medical devices that help people to move, breathe, rest and perform essential hygiene. The company provides clinically complex medical device solutions for congenital (e.g., cerebral palsy, muscular dystrophy, spina bifida), acquired (e.g., stroke, spinal cord injury, traumatic brain injury, post-acute recovery, pressure ulcers) and degenerative (e.g., ALS, multiple sclerosis, chronic obstructive pulmonary disease (COPD), elderly, bariatric) ailments. The company's products are important parts of care for people with a wide range of challenges, from those who are active and involved in work or school each day and may need additional mobility or respiratory support, to those who are cared for in residential care settings, at home and in rehabilitation centers.

Key Statistics

Overview:

Market Capitalization, $K 25,487
Enterprise Value, $K 249,867
Shares Outstanding, K 37,758
Annual Sales, $ 872,460 K
Annual Net Income, $ -45,560 K
Last Quarter Sales, $ 170,410 K
Last Quarter Net Income, $ -34,350 K
60-Month Beta 0.22
% of Insider Shareholders 6.90%
% of Institutional Shareholders 59.87%
Float, K 35,153
% Float 93.10%
Short Volume Ratio 0.21

Growth:

1-Year Return -70.28%
3-Year Return -91.28%
5-Year Return -96.43%
5-Year Revenue Growth -16.71%
5-Year Earnings Growth 51.77%
5-Year Dividend Growth -100.00%

Per-Share Information:

Most Recent Earnings -0.54 on 11/07/22
Next Earnings Date 03/14/23
Earnings Per Share ttm -1.68
EPS Growth vs. Prev Qtr -1.89%
EPS Growth vs. Prev Year -350.00%
Annual Dividend Rate, $ 0.00
Annual Dividend Yield 0.00%
Most Recent Dividend 0.013 on 04/02/20
Next Ex-Dividends Date 04/02/20
Dividend Payable Date 04/17/20
Dividend Payout Ratio 0.00%
Most Recent Split 2-1 on 10/17/95

IVC Ratios

Ratio
Price/Earnings ttm 0.00
Price/Earnings forward N/A
Price/Earnings to Growth N/A
Return-on-Equity % -37.76%
Return-on-Assets % -7.18%
Profit Margin % -5.22
Net Margin % 2.30
Debt/Equity 4.82
Price/Sales 0.03
Price/Cash Flow 0.86
Price/Book 0.39
Book Value/Share 1.91
Interest Coverage -0.61

IVC Dividends

Date Value
04/02/20 $0.0130
01/02/20 $0.0130
10/10/19 $0.0130
07/03/19 $0.0130
04/03/19 $0.0130
01/03/19 $0.0130
10/11/18 $0.0130
07/05/18 $0.0130
04/03/18 $0.0130
01/03/18 $0.0130
10/04/17 $0.0130
06/29/17 $0.0130
03/30/17 $0.0130
12/30/16 $0.0130
10/11/16 $0.0130
06/30/16 $0.0130
04/01/16 $0.0130
12/30/15 $0.0130
09/30/15 $0.0125
06/30/15 $0.0125
03/31/15 $0.0125
12/31/14 $0.0125
09/30/14 $0.0125
07/01/14 $0.0125
04/01/14 $0.0125
12/31/13 $0.0125
10/01/13 $0.0125
07/02/13 $0.0125
04/01/13 $0.0125
01/02/13 $0.0125
10/02/12 $0.0125
07/02/12 $0.0125
04/03/12 $0.0125
12/30/11 $0.0125
10/03/11 $0.0125
06/30/11 $0.0125
04/01/11 $0.0125
01/03/11 $0.0125
10/01/10 $0.0125
06/30/10 $0.0125
04/01/10 $0.0125
12/31/09 $0.0125
10/01/09 $0.0125
06/30/09 $0.0125
04/02/09 $0.0125
12/31/08 $0.0125
10/01/08 $0.0125
07/01/08 $0.0125
04/01/08 $0.0125
12/31/07 $0.0125
09/28/07 $0.0125
09/06/07 $0.2700
06/29/07 $0.0125
03/30/07 $0.0125
12/29/06 $0.0125
09/28/06 $0.0125
06/29/06 $0.0125
03/30/06 $0.0125
12/29/05 $0.0125
09/29/05 $0.0125
06/29/05 $0.0125
03/30/05 $0.0125
12/30/04 $0.0125
09/29/04 $0.0125
06/29/04 $0.0125
03/30/04 $0.0130
12/30/03 $0.0125
09/29/03 $0.0125
06/27/03 $0.0125
03/28/03 $0.0125
12/30/02 $0.0125
09/27/02 $0.0125
06/27/02 $0.0125
03/27/02 $0.0125
12/28/01 $0.0125
09/27/01 $0.0125
06/28/01 $0.0125
03/29/01 $0.0125
12/28/00 $0.0125
09/28/00 $0.0125
06/29/00 $0.0130
03/30/00 $0.0130
12/30/99 $0.0130
09/29/99 $0.0130
06/29/99 $0.0130
03/30/99 $0.0120
12/30/98 $0.0120
09/29/98 $0.0120
06/29/98 $0.0120
03/30/98 $0.0120
12/30/97 $0.0120
09/29/97 $0.0120
06/27/97 $0.0120
03/27/97 $0.0120
12/30/96 $0.0120
09/27/96 $0.0120
06/27/96 $0.0120
03/28/96 $0.0120
12/28/95 $0.0120
09/28/95 $0.0060
07/13/95 $0.0060
06/29/95 $0.0060
04/24/95 $0.0060
12/23/94 $0.0060
09/26/94 $0.0060
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