Kimball Electronics, Inc. KE

27.27 (0.21) (0.76%) as of 25 Sep
Market cap
$666.0M
P/E
23.9×

Insider Decisions

in millions of $
Nov 25 Feb 26 May 26 Aug 26
Buy — — — — — — — — — — — —
Sell — — — — — — — — — — — —
Insider Ownership 4.41%

Capital & Financial Ratios

Market Cap 665.98
Revenue 1,431.38
Net Income 27.96
Free Cash Flow 24.60
Net Debt 27.28
Current Ratio 2.09
Debt/Equity 0.20
P/E ratio 23.92
P/S ratio 0.47
P/B ratio 1.14
Past 5Y EPS Growth (7.68%)
This Y EPS Growth 46.86%
Next Y EPS Growth 14.16%
Next 5Y EPS Growth 13.86%
in millions of $

Dividends

Payout Ratio 0.00
Annual Dividend Rate —
Annual Dividend Yield —
total individual payouts
2023 Powerpack
2022 Powerpack
2021 Powerpack
2020 Powerpack
2019 Powerpack
2018 Powerpack
2017 Powerpack
predictions in italic, special payouts not included in total or ratios

Assets vs Liabilities

2023 2024 2025 2026
Cash 43 78 89 89
Receivables 308 282 223 219
Inventory 450 338 274 272
Other 79 104 79 70
929 847 700 693
2023 2024 2025 2026
Payables 322 214 219 234
ST’ Debt 46 60 17 8
Other 34 39 36 31
475 375 319 332
in millions of $

Compound Annual Growth

10y 5y 3y
Sales 5.45% 2.07% (7.75%)
Cash Flow 6.97% (11.09%) 0.00%
Earnings 2.29% (13.20%) (20.61%)
Book Value 6.08% 5.77% 3.75%

Revenue

Sep Dec Mar Jun Year
’26 — — — — —
’26 366 341 353 372 1,431
’25 374 357 375 380 1,487
’24 438 421 425 430 1,715
’23 406 437 485 496 1,823
’22 293 315 368 373 1,350
’21 332 321 310 329 1,292
in millions of $ · fiscal quarters ending in the months shown

Operating Cash Flow

Sep Dec Mar Jun Year
’26 — — — — —
’26 8 7 15 42 72
’25 45 29 31 78 184
’24 13 (31) 43 49 73
’23 (60) (12) 14 44 (14)
’22 (8) (48) (28) 1 (83)
’21 21 52 31 26 130
in millions of $ · fiscal quarters ending in the months shown

Free Cash Flow

Sep Dec Mar Jun Year
’26 — — — — —
’26 1 (11) 1 34 25
’25 32 23 27 69 151
’24 2 (44) 29 40 27
’23 (80) (34) (11) 20 (104)
’22 (21) (63) (50) (23) (157)
’21 12 45 23 11 91
in millions of $ · fiscal quarters ending in the months shown

EPS

Sep Dec Mar Jun Year
’26 — — — — —
’26 0.40 0.15 0.23 0.35 1.13
’25 0.12 0.14 0.15 0.26 0.68
’24 0.43 0.33 (0.24) 0.30 0.81
’23 0.38 0.43 0.65 0.76 2.22
’22 0.10 0.20 0.54 0.40 1.24
’21 0.66 0.60 0.41 0.57 2.24
fiscal quarters ending in the months shown

Target Price Range

Analyst price targets

Recommendation Rating

1.5
1Buy 2 3Hold 4 5Sell
2017 2018 2019 2020 2021 2022 2023 2024 2025 2026 2027 2028 2029
15.05 13.51 12.48 9.78 15.90 16.66 19.52 16.64 12.41 21.01

Analyst estimates 2027–2029

Powerpack
Low Price
22.45 20.90 18.49 18.00 30.61 25.39 31.43 26.82 33.19 32.00
High Price
5,400 5,700 6,300 6,400 6,400 7,200 7,900 7,000 5,700 5,600
Employees
0 0 0 0 0 0 0 0 0 0
Revenue/Emp
931 1,072 1,182 1,201 1,292 1,350 1,823 1,715 1,487 1,431
Revenue
8.10% 8.02% 7.48% 6.98% 9.14% 7.75% 8.56% 8.18% 7.02% 8.21%
Gross Margin
44 45 38 25 70 44 75 25 26 53
EBT
4.75% 4.18% 3.26% 2.10% 5.42% 3.24% 4.10% 1.47% 1.76% 3.72%
EBT Margin
34 17 32 18 57 31 56 21 17 28
Net Income
24 26 29 39 34 29 32 44 37 39
Depreciation
33.96 40.08 45.71 47.56 51.49 53.73 73.22 68.36 59.99 58.42
Revenue/Sh
1.25 0.63 1.22 0.72 2.26 1.24 2.24 0.82 0.68 1.14
Earnings/Sh
1.71 1.50 (0.26) 2.88 5.19 (3.31) (0.55) 2.92 7.42 2.95
Cash Flow/Sh
(1.23) (0.98) (0.96) (1.53) (1.55) (2.96) (3.63) (1.86) (1.34) (1.95)
Capex/Sh
0.47 0.52 (1.22) 1.36 3.64 (6.27) (4.18) 1.06 6.08 1.00
Free CF/Sh
12.49 13.29 14.30 15.03 17.62 18.08 21.04 21.55 23.00 23.88
Book Value/Sh
27 27 26 25 25 25 25 25 25 25
Shares
14.44 30.31 13.11 18.81 9.58 16.21 12.33 26.29 27.87 22.46
PE Ratio
0.53 0.48 0.35 0.28 0.42 0.37 0.38 0.32 0.32 0.44
PS Ratio
1.45 1.46 1.12 0.90 1.23 1.11 1.31 1.00 0.84 1.07
PB Ratio
0.49 0.45 0.41 0.33 0.39 0.47 0.51 0.44 0.36 0.46
EV/Sales
35.48 34.48 (15.54) 11.54 5.54 (4.04) (8.89) 28.40 3.55 26.60
EV/FCF
47 40 (7) 73 130 (83) (14) 73 184 72
Op' Cash Flow
(34) (26) (25) (39) (39) (74) (90) (47) (33) (48)
Capex
13 14 (32) 34 91 (157) (104) 27 151 25
FCF
189 208 280 286 283 352 454 472 381 361
Working Cap'
10 8 126 118 66 181 281 295 147 116
Total Debt
(35) (38) 77 53 (40) 131 238 217 58 27
Net Debt
342 356 370 379 442 454 524 540 570 585
Sh' Equity
6.41% 2.88% 4.59% 2.36% 7.14% 3.38% 4.86% 1.66% 1.48% 2.58%
ROA
8.69% 8.28% 5.88% 4.62% 10.22% 5.62% 7.19% 4.07% 4.53% 6.74%
ROIC
10.25% 4.80% 8.69% 4.85% 13.81% 6.98% 11.42% 3.85% 3.06% 4.84%
ROE
predictions in italic, sparklines do not include predictions

All 10 years →

Fiscal years to Jun 2026 · latest quarter Jun 2026

Kimball Electronics, Inc. peers in Electrical Equipment & Parts

All 52 Electrical Equipment & Parts stocks →

Kimball Electronics, Inc. (KE) key facts

  • Kimball Electronics, Inc. (KE) is an Electrical Equipment & Parts company in the Industrials sector, listed on Nasdaq.
  • Kimball Electronics, Inc.’s revenue for fiscal 2026 (year ended June 2026) was $1.4 billion, down 3.72% from fiscal 2025.
  • Net income was $28.0 million, or $1.14 per share (basic), a net margin of 1.95%.
  • As of September 25, 2026, KE traded at $27.27, a market capitalization of $666.0 million.
  • At that price the stock trades at 23.9× trailing-twelve-month earnings and 0.5× sales.
  • Return on equity was 4.84% and debt-to-equity 0.20.

Source: company filings (standardised) and stockrow calculations.

Kimball Electronics, Inc. (KE) Latest News

News by impact score

Fine-tune

22 Sep

3

Kimball Solutions (KE) is listed as one of three cash-producing stocks to avoid. KE is a global contract manufacturer serving automotive, medical, and industrial markets, but profitability and cash flow are weak. Trailing 12-month free cash flow margin: 1.5%; five-year free cash flow margin: -0.8%. Over the past two years, annual sales declined 8.6%; EPS has fallen for five straight years. At $25.64 per share, KE trades around 15.4x forward P/E. Limited cash flow restricts investments, buybacks, or dividends, reinforcing a sell stance and directing investors toward better opportunities. KE is contrasted with G-III and MSC Industrial, which the analysis portrays as less attractive on growth and cash metrics. Weak 1.5% trailing cash flow margin, -0.8% five-year FCF, and 8.6% sales decline underpin a sell thesis that could dampen sentiment without indicating a fundamental, long-term turnaround.

9 Sep

4

Kimball Electronics is investing heavily in medical devices while prioritizing debt reduction. Strategic expansion into medical devices combined with debt paydown signals major shift likely to boost long-term growth and financial stability.

31 Aug

3

Kimball Electronics posted lackluster Q4 results, raising questions over whether investors should buy the stock. Disappointing Q4 earnings point to short-term pressure on financial performance and investor sentiment.

19 Aug

3 transcript

Kimball Electronics held its Q4 2026 earnings call to review quarterly financial results, operations, and forward guidance. Earnings call content delivers updated financial metrics and outlook that can shift near-term investor sentiment and valuation.

3

Kimball Solutions Q2 earnings call drew top analyst questions on financial performance, growth strategies and market challenges. Earnings call analyst questions reveal investor concerns that can moderately shift market sentiment and short-term performance.

16 Aug

3

Kimball Electronics Q2 results highlight medical sector growth, acquisition integration progress and margin focus as key factors shaping future outlook. Q2 updates on medical growth, acquisitions and margins indicate moderate effects on financial performance and positioning.

14 Aug

3

Kimball Electronics (KE) stands out as a fast-paced mover and attractive option for value investors. Positive investment framing can lift short-term market sentiment toward KE.

13 Aug

3

Kimball Electronics Inc posted strong cash flow and debt management in Q4 2026 earnings call. Strong cash flow and debt metrics from earnings call support improved financial position at Kimball Electronics.

3 transcript

Kimball Electronics Q4 earnings call covered financial results, operational updates and management outlook for the company. Q4 earnings call supplies performance metrics that moderately shape near-term investor views and operations.

3

Kimball Electronics, Inc. held its Q4 2026 earnings call covering financial results, revenue, earnings, and forward outlook. Quarterly earnings data and guidance typically shape near-term valuation and sentiment without altering long-term strategy.

12 Aug

3

Kimball Electronics reported a Q4 loss and missed revenue estimates. Q4 loss and missed revenue estimates indicate weaker financial results that will likely pressure near-term stock performance and investor sentiment.

3

Kimball Electronics reported Q4 results and issued fiscal 2027 guidance focused on organic sales growth plus accretive effects from the Helvoet acquisition. Q4 results and 2027 guidance citing organic growth and acquisition accretion will moderately affect financial performance and market sentiment.

6 Aug

3

SHOP posted Q2 earnings above estimates as revenues rose on strong GMV. Q2 earnings beat and GMV-driven revenue growth signal moderately positive effects on near-term results and sentiment.

31 Jul

4

Kimball Electronics Q2 earnings exceeded estimates driven by AI-related LEAP and ATM growth. AI-driven LEAP and ATM growth produced Q2 earnings beat that can shift company trajectory and investor views.

30 Jul

3

Kimball Electronics missed Q2 earnings due to ClearPath timing delays despite beating revenue targets. Q2 earnings miss tied to timing creates moderate short-term pressure on performance and sentiment.

22 Jul

3

Kimball Electronics emphasizes holistic growth strategies for sustainability. Strategic emphasis on holistic growth and sustainability indicates moderately noticeable influence on long-term performance.

1 Jul

4

Kimball Electronics, Inc. acquires Helvoet Polymer Technologies B.V., a European-based medical CDMO. Acquisition expands Kimball Electronics' medical manufacturing capabilities and European footprint via major strategic move.

10 Jun

3

Kimball Electronics reported Q1 earnings, prompting analysis on whether to buy, sell or hold the stock based on results and outlook. Q1 earnings release and related investment advice can moderately affect near-term sentiment and trading in KE shares.

6 May

4

Kimball Electronics Q3 earnings call highlighted net sales of $374.5 million, down 17.7% YoY; GAAP net income $4.2 million or $0.15 EPS; gross profit margin 7.6%. Q4 guidance: sales $360-390 million. Full-year sales outlook $1.56-1.59 billion. Strength in medical, public safety; automotive softness persists. Strategic focus on diversification and efficiency. Q3 results showing sales decline, margin improvement, and revised guidance directly shape near-term financial trajectory and market valuation.

4

Kimball Electronics, Inc. released Q3 2026 earnings call summary highlighting financial results, guidance, and strategic updates. Q3 2026 earnings call summary details financial performance and forward guidance, significantly influencing KE's trajectory and investor sentiment.

5 May

4

Kimball Electronics reports Q3 results with double-digit sequential medical sales growth and affirms fiscal 2026 guidance, expecting adjusted operating margin at the high end of the range. Strong Q3 medical sales growth and high-end FY2026 margin guidance signal significant positive impact on financial performance and investor sentiment.

3

Kimball Electronics (KE) Q3 earnings and revenues missed estimates. Earnings and revenue misses directly impact financial performance and investor sentiment.

3

Kimball Electronics (NASDAQ:KE) reported sales below analyst estimates in its Q1 CY2026 earnings. Sales below analyst estimates in quarterly earnings moderately impacts financial performance and investor sentiment.

4 May

4

Kimball Electronics, Inc. (KE) reports Q1 results tomorrow, marking a key earnings event to watch. Upcoming Q1 earnings release can drive major stock volatility and reshape investor expectations for financial performance.

13 Apr

3

Kimball Electronics (KE) stock faces buy, sell, or hold decision after Q4 earnings, analyzing financial results, guidance, and market outlook. Q4 earnings outcomes directly impact KE's financial performance and short-term investor sentiment.

20 Mar

4

Kimball Electronics announces strategic pivot into medical sector, raises full-year outlook, and unveils new 300,000-square-foot manufacturing facility in Indianapolis at investor forum. Medical sector pivot, raised outlook, and major new facility expansion represent significant strategic growth moves.

11 Feb

3 transcript

Kimball Electronics, Inc. (KE) held its Q4 earnings call, during which analysts posed five notable questions regarding the company's performance and strategic direction. Key topics included supply chain challenges, market demand fluctuations, and future growth initiatives. Management provided insights into operational adjustments and expectations for the upcoming quarters, highlighting areas of focus for continued improvement and innovation. Analyst questions indicate moderate concerns and opportunities that may influence financial performance and strategic direction.

5 Feb

4

Kimball Electronics, Inc. reported strong growth in its medical segment during Q2 2026, highlighting increased demand and successful product launches. The company emphasized its commitment to innovation and expanding its market presence, which contributed to improved financial performance. Management expressed optimism about future growth opportunities and strategic initiatives aimed at enhancing operational efficiency. Strong growth in the medical segment and strategic initiatives are likely to significantly impact future performance and investor sentiment.

3

Kimball Electronics, Inc. reported Q2 earnings that matched estimates, but revenues experienced a year-over-year decline. The company continues to face challenges in maintaining growth amid changing market conditions. The revenue decline indicates potential challenges in financial performance, but earnings meeting estimates suggests some stability.

4 Feb

3

Kimball Electronics, Inc. (KE) reported its Q2 earnings, which met analysts' estimates. The company highlighted steady demand across its sectors and maintained its guidance for the fiscal year. Despite challenges in the supply chain, KE's performance reflects resilience and strategic management. Investors reacted positively to the results, indicating confidence in the company's operational strategies and market position. Earnings meeting estimates suggests stable performance, but does not indicate significant changes in trajectory.

stockrow.com/KE · Data as of Jun 30, 2026 · For information only; not investment advice. · © 2026 stockrow.com