Calix Inc. | Mid-cap | Technology

TL;DR: Financial Overview - Revenue, Profits & Key Metrics

Latest Quarterly: Mar 2025

Income Metrics

Revenue 220.2M
Gross Profit 122.7M 55.72%
Operating Income -6.1M -2.76%
Net Income -4.8M -2.17%
EPS (Diluted) $-0.07

Balance Sheet Metrics

Total Assets 917.1M
Total Liabilities 150.0M
Shareholders Equity 767.2M
Debt to Equity 0.20

Cash Flow Metrics

Operating Cash Flow 29.6M
Free Cash Flow 12.9M

Revenue & Profitability Trend

Calix Income Statement From 2020 to 2024

Metric20242023202220212020
Revenue i831.5M1.0B867.8M679.4M541.2M
Cost of Goods Sold i377.9M521.3M432.4M322.8M274.2M
Gross Profit i453.6M518.3M435.4M356.6M267.0M
Gross Margin % i54.6%49.9%50.2%52.5%49.3%
Operating Expenses
Research & Development i179.9M177.8M132.0M101.7M85.3M
Selling, General & Administrative i316.8M315.0M250.8M181.7M138.6M
Other Operating Expenses i-----
Total Operating Expenses i496.6M492.7M382.8M283.4M223.9M
Operating Income i-43.0M25.6M52.6M73.2M43.1M
Operating Margin % i-5.2%2.5%6.1%10.8%8.0%
Non-Operating Items
Interest Income i12.3M-2.0M--
Interest Expense i---402.0K1.6M
Other Non-Operating Income-955.0K-532.0K-577.0K-96.0K-7.3M
Pre-tax Income i-31.6M34.8M54.0M72.7M34.3M
Income Tax i-1.9M5.4M13.0M-165.7M800.0K
Effective Tax Rate % i0.0%15.6%24.1%-228.1%2.3%
Net Income i-29.7M29.3M41.0M238.4M33.5M
Net Margin % i-3.6%2.8%4.7%35.1%6.2%
Key Metrics
EBITDA i-23.5M42.2M66.9M87.3M55.9M
EPS (Basic) i$-0.45$0.48$0.63$3.77$0.57
EPS (Diluted) i$-0.45$0.46$0.60$3.51$0.54
Basic Shares Outstanding i6587900065980000650580006327700059074000
Diluted Shares Outstanding i6587900065980000650580006327700059074000

Income Statement Trend

Calix Balance Sheet From 2020 to 2024

Metric20242023202220212020
Assets
Current Assets
Cash & Equivalents i43.2M63.4M79.1M51.3M80.8M
Short-term Investments i253.9M156.9M162.6M153.0M53.0M
Accounts Receivable i79.3M126.0M93.8M85.2M69.4M
Inventory i102.7M133.0M149.2M88.9M52.3M
Other Current Assets43.0M40.5M23.6M30.8M11.4M
Total Current Assets i584.7M598.0M547.4M409.2M266.9M
Non-Current Assets
Property, Plant & Equipment i57.6M50.9M44.1M39.5M37.7M
Goodwill i232.4M232.4M232.4M239.2M241.9M
Intangible Assets i--4.3M6.9M9.5M
Long-term Investments-----
Other Non-Current Assets201.0M189.0M186.2M175.8M2.6M
Total Non-Current Assets i354.5M343.9M337.5M332.8M160.5M
Total Assets i939.3M941.9M884.8M742.0M427.4M
Liabilities
Current Liabilities
Accounts Payable i20.2M34.7M41.4M29.1M13.1M
Short-term Debt i4.3M4.1M3.9M3.6M3.0M
Current Portion of Long-term Debt-----
Other Current Liabilities-----
Total Current Liabilities i131.1M187.6M165.4M128.1M101.0M
Non-Current Liabilities
Long-term Debt i3.7M7.4M8.4M12.4M12.9M
Deferred Tax Liabilities i-----
Other Non-Current Liabilities2.6M3.0M6.3M11.1M13.1M
Total Non-Current Liabilities i27.2M35.2M39.8M45.5M46.0M
Total Liabilities i158.3M222.9M205.3M173.6M147.0M
Equity
Common Stock i1.7M1.6M1.6M1.6M1.6M
Retained Earnings i-390.1M-360.4M-389.7M-430.7M-669.1M
Treasury Stock i----0
Other Equity-----
Total Shareholders Equity i780.9M719.0M679.6M568.4M280.3M
Key Metrics
Total Debt i8.0M11.6M12.4M16.0M15.9M
Working Capital i453.6M410.3M381.9M281.1M165.8M

Balance Sheet Composition

Calix Cash Flow Statement From 2020 to 2024

Metric20242023202220212020
Operating Activities
Net Income i-29.7M29.3M41.0M238.4M33.5M
Depreciation & Amortization i19.6M16.6M14.3M15.0M13.7M
Stock-Based Compensation i70.8M62.8M44.8M24.2M14.0M
Working Capital Changes i43.8M-23.9M-56.3M-28.6M-26.4M
Operating Cash Flow i94.4M84.2M45.8M80.6M34.8M
Investing Activities
Capital Expenditures i-18.1M-17.9M-14.1M-10.5M-7.8M
Acquisitions i----0
Investment Purchases i-301.7M-216.2M-191.4M-298.1M-73.0M
Investment Sales i210.2M227.8M181.4M197.9M20.0M
Investing Cash Flow i-109.5M-6.2M-24.1M-110.7M-60.8M
Financing Activities
Share Repurchases i-10.7M-86.4M00-
Dividends Paid i-----
Debt Issuance i-----
Debt Repayment i--00-60.3M
Financing Cash Flow i-10.7M-98.1M-2.4M-1.2M-36.3M
Free Cash Flow i50.3M38.4M13.1M46.3M43.6M
Net Change in Cash i-25.8M-20.1M19.3M-31.3M-62.3M

Cash Flow Trend

Calix Key Financial Ratios

Valuation Ratios

P/E Ratio (TTM) 1,310.33
Forward P/E 83.50
Price to Book 4.80
Price to Sales 4.27
PEG Ratio 83.50

Profitability Ratios

Profit Margin -3.09%
Operating Margin 0.16%
Return on Equity -3.52%
Return on Assets -2.40%

Financial Health

Current Ratio 4.55
Debt to Equity 0.77
Beta 1.28

Per Share Data

EPS (TTM) $-0.41
Book Value per Share $11.83
Revenue per Share $13.21

Peer Financial Comparison

CompanyMarket CapP/E RatioP/B RatioROEProfit MarginDebt/Equity
calx3.7B1,310.334.80-3.52%-3.09%0.77
Microsoft 3.8T39.6711.8633.61%35.79%32.63
Oracle 709.3B58.1934.6682.38%21.68%519.59
Amdocs 9.9B18.682.8115.73%11.94%23.65
Klaviyo 9.1B-7.95-4.73%-4.70%9.65
Shift4 Payments 7.3B30.888.9918.28%6.11%186.68

Financial data is updated regularly. All figures are in the company's reporting currency.