Sunday 11 October 2026 Export all LCII data to Excel Powerpack

LCI Industries

LCII Consumer Cyclical Recreational Vehicles

LCI Industries' revenue for fiscal 2025 (year ended December 2025) was $4.1 billion, up 10.2% from fiscal 2024. In the quarter to June 2026, revenue fell 12.5%, EPS grew 20.5%, free cash flow grew 88.0% and total debt fell 10.1%, each against the same quarter a year earlier. Dividend growth for ten consecutive years.

78.11 2.08 −2.59%
Market cap
$2.0B
P/E
9.0×
Fwd P/E
10.6×
Dividend yield
5.89%
F-score
8/9
Altman Z
3.48
Beneish M
−2.54
Dividend safety
72/100

A Balance Sheet is a financial statement that provides a snapshot of a company's assets, liabilities, and shareholders' equity at a specific point in time. It follows the formula: Assets = Liabilities + Shareholders' Equity. Key components include current and non-current assets, current and long-term liabilities, and equity. The Balance Sheet helps businesses and investors evaluate financial stability, liquidity, and capital structure. It's essential for assessing the company's ability to meet its obligations and fund future operations.

Dec '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20 Dec '19 Dec '18 Dec '17 Dec '16
Cash and Short Term Investments
222.62 165.76 66.16 47.50 62.90 51.82 35.36 14.93 26.05 86.17
Receivables
243.43 199.56 214.71 214.26 319.78 268.63 199.98 121.81 82.16 57.37
Inventory
809.09 736.60 768.41 1,029.71 1,095.91 493.90 393.61 340.62 274.75 188.74
Total current assets
1,349.69 1,160.24 1,116.87 1,390.78 1,566.89 869.80 670.79 526.65 417.08 367.39
Property, Plant, Equpment (Net)
428.03 432.73 465.78 482.19 426.46 387.22 366.31 322.88 228.95 172.75
Goodwill and Intangible Assets (Total)
1,024.75 977.79 1,038.31 1,070.38 1,063.14 875.61 692.54 356.51 254.32 202.14
Long Term Assets (Tax, Deferred)
— — — — — — — 10.95 24.16 31.99
Long-term assets (Other)
100.52 99.67 92.97 56.56 67.00 61.22 34.18 26.91 21.36 12.63
Total non-current assets
1,826.30 1,734.50 1,842.45 1,856.14 1,721.21 1,428.23 1,191.80 717.24 528.78 419.51
Total Assets
3,175.99 2,894.74 2,959.32 3,246.91 3,288.09 2,298.03 1,862.60 1,243.89 945.86 786.90
Accounts Payable
202.26 187.68 183.70 143.53 282.18 184.93 99.26 78.35 79.16 50.62
Accrued Expenses
223.25 185.28 174.44 219.24 243.44 188.20 132.42 98.63 102.85 98.74
Current Part of Debt
3.68 0.42 0.59 23.09 71.00 17.83 17.88 0.60 — —
Total current liabilities
473.37 412.05 394.99 421.30 627.22 416.39 271.26 177.58 182.01 149.35
Long Term Debt (Total)
941.50 756.83 846.83 1,095.89 1,231.96 720.42 612.91 293.53 49.92 49.95
Long Term Tax Liability (Deferred)
27.50 26.11 32.35 30.58 43.18 53.83 35.74 8.50 (24.00) (32.00)
Non-current Liabilities (Other)
126.74 112.93 107.43 95.66 149.42 116.35 62.17 58.03 61.18 37.34
Total non-current liabilities
1,341.79 1,095.80 1,209.29 1,444.60 1,568.00 973.31 790.67 360.06 111.10 87.28
Total liabilities
1,815.15 1,507.85 1,604.28 1,865.90 2,195.22 1,389.71 1,061.92 537.64 293.11 236.64
Additional Paid In Capital
255.12 257.49 245.66 234.96 220.46 227.41 212.49 203.25 203.99 185.98
Common Stock (Net)
0.29 0.29 0.29 0.29 0.28 0.28 0.28 0.28 0.28 0.27
Retained Earnings
1,279.66 1,208.10 1,177.03 1,221.28 930.80 731.71 644.95 563.50 475.51 395.28
Treasury Stock
211.91 82.22 82.22 82.22 58.16 58.16 58.16 58.16 29.47 29.47
Common Equity (Total)
1,360.83 1,386.89 1,355.04 1,381.01 1,092.88 908.33 800.67 706.26 652.75 550.27
Shareholders Equity (Total)
1,360.83 1,386.89 1,355.04 1,381.01 1,092.88 908.33 800.67 706.26 652.75 550.27
Shareholders Equity and Liabilities (Total)
3,175.99 2,894.74 2,959.32 3,246.91 3,288.09 2,298.03 1,862.60 1,243.89 945.86 786.90
Shares (Common)
24.20 25.46 25.33 25.18 25.27 25.16 25.05 24.86 24.99 24.75
Shareholders Equity (Tangible)
336.08 409.10 316.73 310.63 29.74 32.71 108.13 349.74 398.43 348.13
Net Debt
722.57 591.50 781.27 1,071.48 1,240.07 686.43 595.43 279.20 23.88 (36.22)
Total Debt
945.19 757.25 847.42 1,118.97 1,302.96 738.25 630.79 294.12 49.92 49.95

Fold the line items

In millions of $ except per-share values · columns are period end dates