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EVIEVI Industries, Inc.
$16.03$206M
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EVI Industries, Inc. (EVI) Financial Ratios

Latest Ratios: P/E Ratio 32.7x · EV/EBITDA 12.8x · ROE 5.4%. (1996–2025 historical series)

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly

EVI Valuation Multiples

Price-based multiples — how expensive the stock is relative to earnings, sales, book value, and cash flow

MetricTTMFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020FY 2019FY 2018FY 2017FY 2016
Market Cap$206M$287M$249M$282M$126M$357M$264M$460M$451M$283M$27M
Enterprise Value$262M$343M$266M$320M$158M$371M$293M$496M$460M$287M$23M
P/E Ratio →32.7144.5551.1432.8434.4546.56370.48123.45115.1490.1715.32
P/S Ratio0.530.740.700.800.471.481.122.023.013.010.75
P/B Ratio1.472.001.822.151.073.353.015.657.918.795.29
P/FCF12.5817.518.96——32.8613.42—42.87120.3418.71
P/OCF9.7013.517.62299.67—26.0911.46—39.74109.3218.69

P/E links to full P/E history page with 30-year chart

EVI EV Ratios

Enterprise-value multiples — capital-structure-neutral measures of total business value

MetricTTMFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020FY 2019FY 2018FY 2017FY 2016
EV / Revenue—0.880.750.900.591.531.242.173.063.050.64
EV / EBITDA12.8216.7715.1114.2113.6746.9545.0971.1953.9848.418.06
EV / EBIT19.0524.3922.8919.2824.8135.23105.3370.7566.2753.628.23
EV / FCF—20.929.58——34.1114.87—43.70121.9215.97

EVI Profitability

Margins and return-on-capital ratios measuring operating efficiency

Margins

Full margin charts and quarterly trend are on the Earnings History page

MetricTTMFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020FY 2019FY 2018FY 2017FY 2016
Gross Margin30.4%30.4%29.8%29.3%27.6%24.7%23.4%23.1%24.3%21.6%22.8%
Operating Margin3.5%3.5%3.3%4.7%2.4%1.3%1.2%1.9%4.6%5.7%7.7%
Net Profit Margin1.9%1.9%1.6%2.7%1.5%3.5%0.3%1.6%2.6%3.4%4.8%

Return on Capital

MetricTTMFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020FY 2019FY 2018FY 2017FY 2016
ROE5.4%5.4%4.2%7.8%3.6%8.6%0.9%5.4%8.9%17.0%35.4%
ROA2.8%2.8%2.3%4.0%2.0%4.9%0.5%3.0%5.2%9.4%17.9%
ROIC5.8%5.8%5.4%7.8%3.5%2.1%1.8%3.5%10.2%21.6%210.0%
ROCE7.4%7.4%6.8%9.7%4.4%2.6%2.3%4.5%13.5%26.1%56.7%

EVI Leverage & Debt

Solvency and debt-coverage ratios — lower is generally safer

MetricTTMFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020FY 2019FY 2018FY 2017FY 2016
Debt / Equity0.450.450.160.340.310.180.440.500.180.14—
Debt / EBITDA3.173.171.241.973.112.485.915.831.180.75—
Net Debt / Equity—0.390.130.290.270.130.330.440.150.12-0.77
Net Debt / EBITDA2.732.730.981.712.771.714.405.101.020.63-1.38
Debt / FCF—3.410.62——1.241.45—0.831.58-2.74
Interest Coverage5.135.134.246.629.4116.571.945.0412.5633.44—

EVI Liquidity & Efficiency

Short-term solvency ratios and asset-utilisation metrics

MetricTTMFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020FY 2019FY 2018FY 2017FY 2016
Current Ratio1.531.531.461.641.411.321.522.211.251.121.97
Quick Ratio0.840.840.770.840.730.800.961.350.720.761.45
Cash Ratio0.090.090.070.080.050.120.230.160.050.030.78
Asset Turnover—1.271.531.381.141.351.471.481.571.643.54
Inventory Turnover4.114.115.184.083.797.147.516.647.399.5910.58
Days Sales Outstanding—59.0746.0853.5165.1246.3342.5054.9942.6353.3024.45

EVI Shareholder Yields

Earnings, FCF, buyback, and dividend yields — total returns to shareholders

Dividends

Full dividend history and growth charts are on the Dividend History page

MetricTTMFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020FY 2019FY 2018FY 2017FY 2016
Dividend Yield2.2%1.6%1.6%————0.4%0.3%0.4%5.2%
Payout Ratio61.3%61.3%72.1%————43.3%35.4%32.8%80.8%

Total Shareholder Return Metrics

MetricTTMFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020FY 2019FY 2018FY 2017FY 2016
Earnings Yield3.1%2.2%2.0%3.0%2.9%2.1%0.3%0.8%0.9%1.1%6.5%
FCF Yield8.0%5.7%11.2%——3.0%7.5%—2.3%0.8%5.3%
Buyback Yield0.3%0.2%0.5%0.0%0.2%0.2%0.2%0.2%0.2%0.0%0.0%
Total Shareholder Yield2.5%1.8%2.1%0.0%0.2%0.2%0.2%0.5%0.5%0.4%5.2%
Shares Outstanding—$13M$13M$13M$13M$13M$12M$12M$11M$10M$7M

Key Metrics

Growth RegimeMixed
ProfitabilityWeak
Balance SheetHealthy
Cash FlowMixed
Top Statement Risk

Acquisition integration margin dilution

Verified Source

Metrics are mathematically derived from official filings.

SEC 10-K (2026Q3)

Platform Premium Masks Earnings Volatility

According to current market data, EVI trades at a 29.59x TTM P/E, a valuation that appears to price in significant future compounding potential rather than the company's current modest earnings, as evidenced by the 0.56 PEG ratio suggesting investors are betting on aggressive long-term growth.

The valuation premium relative to the company's thin net margins suggests the market views EVI as a scalable platform rather than a traditional industrial wholesaler. Investors should monitor whether the forward P/E of 27.36 remains sustainable if the pace of accretive acquisitions slows or if integration costs continue to suppress bottom-line profitability.

Capital Efficiency Constrained by Goodwill

Based on reported financial statements, EVI's ROIC has remained consistently low, hovering near 0.8% to 1.7% over the last ten quarters, which indicates that the company is struggling to generate meaningful returns on the capital deployed for its aggressive acquisition-led expansion strategy.

The persistent gap between invested capital and returns suggests that the company's 'buy-and-build' model has yet to achieve the necessary scale to overcome the dilution caused by significant goodwill accumulation. This trend warrants further investigation into whether the acquired entities are truly accretive or if the corporate overhead is eroding the value of the underlying assets.

Working Capital Cycles Remain Unoptimized

As reported in recent quarterly filings, EVI's cash conversion cycle has fluctuated significantly, reaching 88 days in 2026Q3, a trend that highlights the difficulty of standardizing inventory and collection processes across a rapidly expanding and fragmented network of regional laundry and boiler distribution subsidiaries.

The high days inventory outstanding, which peaked at 105 days in 2026Q3, suggests that the company may be carrying excess stock or struggling with supply chain integration across its diverse business units. This inefficiency ties up critical liquidity that could otherwise be deployed toward further acquisitions or debt reduction.

Debt Utilization Rising Amidst Expansion

Based on the company's reported figures, total debt-to-equity has climbed to 0.50 as of 2026Q3, reflecting a strategic shift toward utilizing financial leverage to fund the acquisition pipeline, a move that warrants close monitoring given the current interest coverage ratio of 2.36.

While the current leverage remains within a manageable range, the downward trend in interest coverage from over 10x in early 2025 to current levels suggests that the cost of servicing debt is becoming more burdensome. Investors should monitor whether future acquisitions can be financed without further straining the balance sheet or increasing refinancing risk.

Misapplied Focus on GAAP Earnings

The most commonly misapplied metric for EVI is GAAP net income, which frequently obscures the company's true economic performance by including non-cash amortization of intangibles and one-time integration costs inherent in a roll-up strategy, as evidenced by the extreme volatility in reported quarterly earnings.

Analysts should instead focus on adjusted EBITDA or cash flow from operations to better gauge the underlying health of the distribution branches. Relying on GAAP net margins of less than 2% likely leads to an underestimation of the company's ability to generate cash and sustain its long-term growth trajectory.

Download Financial Ratios Data

Includes 30+ ratios · 30 years · Updated daily

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EVI — Frequently Asked Questions

Quick answers to the most common questions about buying EVI stock.

What is EVI Industries, Inc.'s P/E ratio?

EVI Industries, Inc.'s current P/E ratio is 32.7x. The historical average is 34.1x. This places it at the 62th percentile of its historical range.

What is EVI Industries, Inc.'s EV/EBITDA?

EVI Industries, Inc.'s current EV/EBITDA is 12.8x. This enterprise value multiple compares the company's total value (equity + debt - cash) to its EBITDA. The historical average is 18.1x.

What is EVI Industries, Inc.'s ROE?

EVI Industries, Inc.'s return on equity (ROE) is 5.4%. The historical average is 10.7%.

Is EVI stock overvalued?

Based on historical data, EVI Industries, Inc. is trading at a P/E of 32.7x. This is at the 62th percentile of its historical P/E range. Compare with industry peers and growth rates for a complete picture.

What is EVI Industries, Inc.'s dividend yield?

EVI Industries, Inc.'s current dividend yield is 2.18% with a payout ratio of 61.3%.

What are EVI Industries, Inc.'s profit margins?

EVI Industries, Inc. has 30.4% gross margin and 3.5% operating margin.

How much debt does EVI Industries, Inc. have?

EVI Industries, Inc.'s Debt/EBITDA ratio is 3.2x, indicating high leverage. A ratio between 2-4x is manageable but warrants monitoring.