Clearfield Key Executives
This section highlights Clearfield's key executives, including their titles and compensation details.
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Clearfield Earnings
This section highlights Clearfield's earnings, including key dates, EPS, earnings reports, and earnings call transcripts.
Next Earnings Date
Last Earnings Results
Earnings Call Transcripts
Transcript | Quarter | Year | Date | Estimated EPS | Actual EPS |
---|---|---|---|---|---|
Read Transcript | Q1 | 2025 | 2025-02-06 | $-0.31 | $-0.13 |
Read Transcript | Q4 | 2024 | 2024-11-07 | $-0.19 | $-0.06 |
Read Transcript | Q3 | 2024 | 2024-08-01 | $-0.34 | $-0.04 |
Read Transcript | Q2 | 2024 | 2024-05-02 | $-0.53 | $-0.40 |
Read Transcript | Q1 | 2024 | 2024-02-01 | $-0.40 | $-0.35 |
Read Transcript | Q4 | 2023 | 2023-11-09 | $0.10 | $0.17 |
Read Transcript | Q3 | 2023 | 2023-08-03 | $0.09 | $0.33 |
Read Transcript | Q2 | 2023 | 2023-05-04 | $0.65 | $0.67 |
Read Transcript | Q1 | 2023 | 2023-02-02 | $0.96 | $1.00 |

Clearfield, Inc. manufactures, markets, and sells standard and custom passive connectivity products to the fiber-to-the-premises, enterprises, and original equipment manufacturers markets in the United States and internationally. The company offers FieldSmart, a series of panels, cabinets, wall boxes, and other enclosures. It also provides WaveSmart, which are optical components integrated for signal coupling, splitting, termination, multiplexing, demultiplexing, and attenuation for integration within its fiber management platform; and outdoor cabinet and fiber active cabinet products. The company offers StreetSmart, a portfolio of fiber management products; FieldShield, a fiber pathway and protection method for reducing the cost of broadband deployment; and YOURx platform that consists of hardened terminals, test access points, and various drop cable options for portions of the access network across various fiber drop cable media. It also provides CraftSmart, a line of optical protection field enclosures, including CraftSmart Fiber Protection Pedestals and CraftSmart Fiber Protection Vaults integrated solutions optimized to house FieldSmart products at the last mile access point of the network in above-grade or below-grade installations. The company offers fiber and copper assemblies with an industry-standard or customer-specified configuration; and designs and manufactures custom solutions for in-the-box and network connectivity assemblies specific to that customer's product line. It provides its fiber to anywhere platform for various incumbent local exchange carriers, competitive local exchange carriers, wireless operators, and multiple systems operators and cable TV companies, as well as the utility/municipality, enterprise, and data center markets. The company was formerly known as APA Enterprises, Inc. and changed its name to Clearfield, Inc. in January 2008. Clearfield, Inc. was founded in 1979 and is headquartered in Minneapolis, Minnesota.
$29.72
Stock Price
$419.99M
Market Cap
400
Employees
Minneapolis, MN
Location
Financial Statements
Access annual & quarterly financial statements for Clearfield, including income statements, balance sheets, and cash flow statements..
Annual Income Statement
Breakdown | September 30, 2024 | September 30, 2023 | September 30, 2022 | September 30, 2021 | September 30, 2020 |
---|---|---|---|---|---|
Revenue | $166.71M | $268.72M | $270.88M | $140.76M | $93.07M |
Cost of Revenue | $137.82M | $183.44M | $157.94M | $79.58M | $55.16M |
Gross Profit | $28.89M | $85.28M | $112.95M | $61.18M | $37.91M |
Gross Profit Ratio | 17.33% | 31.70% | 41.70% | 43.50% | 40.74% |
Research and Development Expenses | $- | $3.12M | $895.00K | $1.24M | $1.27M |
General and Administrative Expenses | $- | $- | $- | $- | $- |
Selling and Marketing Expenses | $- | $- | $- | $- | $- |
Selling General and Administrative Expenses | $52.11M | $47.99M | $49.13M | $35.94M | $29.53M |
Other Expenses | $- | $-3.12M | $- | $- | $- |
Operating Expenses | $52.11M | $47.99M | $49.13M | $35.94M | $29.53M |
Cost and Expenses | $189.93M | $231.43M | $207.07M | $115.52M | $84.69M |
Interest Income | $- | $5.21M | $328.00K | $500.12K | $770.95K |
Interest Expense | $- | $881.00K | $311.00K | $- | $- |
Depreciation and Amortization | $7.41M | $6.05M | $3.41M | $2.30M | $2.42M |
EBITDA | $-8.34M | $43.34M | $67.23M | $27.54M | $10.81M |
EBITDA Ratio | -5.00% | 16.13% | 24.82% | 19.56% | 11.61% |
Operating Income | $-23.22M | $37.29M | $63.82M | $25.23M | $8.38M |
Operating Income Ratio | -13.93% | 13.88% | 23.56% | 17.93% | 9.01% |
Total Other Income Expenses Net | $6.97M | $4.33M | $17.00K | $500.12K | $770.95K |
Income Before Tax | $-16.26M | $41.61M | $63.83M | $25.73M | $9.15M |
Income Before Tax Ratio | -9.75% | 15.49% | 23.57% | 18.28% | 9.84% |
Income Tax Expense | $-3.80M | $9.08M | $14.47M | $5.41M | $1.86M |
Net Income | $-12.45M | $32.53M | $49.36M | $20.33M | $7.29M |
Net Income Ratio | -7.47% | 12.11% | 18.22% | 14.44% | 7.84% |
EPS | $-0.85 | $2.17 | $3.58 | $1.48 | $0.53 |
EPS Diluted | $-0.85 | $2.17 | $3.55 | $1.47 | $0.53 |
Weighted Average Shares Outstanding | 14.58M | 14.98M | 13.77M | 13.72M | 13.64M |
Weighted Average Shares Outstanding Diluted | 14.58M | 15.01M | 13.91M | 13.78M | 13.64M |
SEC Filing | Source | Source | Source | Source | Source |
Breakdown | December 31, 2024 | September 30, 2024 | June 30, 2024 | March 31, 2024 | December 31, 2023 | September 30, 2023 | June 30, 2023 | March 31, 2023 | December 31, 2022 | September 30, 2022 | June 30, 2022 | March 31, 2022 | December 31, 2021 | September 30, 2021 | June 30, 2021 | March 31, 2021 | December 31, 2020 | September 30, 2020 | June 30, 2020 | March 31, 2020 |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Revenue | $35.48M | $46.77M | $48.79M | $36.91M | $34.23M | $49.69M | $61.28M | $71.81M | $85.94M | $95.03M | $71.25M | $53.49M | $51.11M | $45.24M | $38.74M | $29.69M | $27.09M | $27.32M | $25.97M | $20.41M |
Cost of Revenue | $27.29M | $36.10M | $38.10M | $34.08M | $29.53M | $37.69M | $42.21M | $48.25M | $55.29M | $57.52M | $41.94M | $30.33M | $28.14M | $25.51M | $21.60M | $16.75M | $15.72M | $16.07M | $15.18M | $12.26M |
Gross Profit | $8.18M | $10.67M | $10.69M | $2.83M | $4.70M | $11.99M | $19.07M | $23.56M | $30.65M | $37.51M | $29.31M | $23.16M | $22.97M | $19.73M | $17.14M | $12.94M | $11.37M | $11.25M | $10.79M | $8.15M |
Gross Profit Ratio | 23.06% | 22.80% | 21.90% | 7.70% | 13.70% | 24.10% | 31.10% | 32.80% | 35.70% | 39.50% | 41.10% | 43.30% | 44.90% | 43.60% | 44.20% | 43.60% | 42.00% | 41.16% | 41.55% | 39.94% |
Research and Development Expenses | $- | $- | $- | $- | $- | $3.12M | $- | $- | $- | $895.00K | $- | $- | $- | $1.24M | $- | $- | $- | $1.27M | $- | $- |
General and Administrative Expenses | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $7.66M | $- | $- | $7.66M | $7.57M | $7.21M | $7.43M |
Selling and Marketing Expenses | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $2.71M | $- | $- | $- | $- | $- | $- |
Selling General and Administrative Expenses | $12.16M | $13.68M | $13.00M | $12.57M | $12.86M | $10.28M | $13.45M | $11.51M | $12.76M | $15.25M | $12.72M | $11.23M | $9.92M | $10.36M | $9.44M | $8.49M | $7.66M | $7.57M | $7.21M | $7.43M |
Other Expenses | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Operating Expenses | $12.16M | $13.68M | $13.00M | $12.57M | $12.86M | $10.28M | $13.45M | $11.51M | $12.76M | $15.25M | $12.72M | $11.23M | $9.92M | $10.36M | $9.44M | $8.49M | $7.66M | $7.57M | $7.21M | $7.43M |
Cost and Expenses | $39.45M | $49.78M | $51.10M | $46.65M | $42.39M | $47.97M | $55.66M | $59.75M | $68.05M | $72.78M | $54.66M | $41.56M | $38.06M | $35.87M | $31.03M | $25.24M | $23.38M | $23.64M | $22.39M | $19.69M |
Interest Income | $- | $- | $- | $- | $2.07M | $1.88M | $1.63M | $1.40M | $303.00K | $- | $43.00K | $- | $120.00K | $121.86K | $121.21K | $123.32K | $134.00K | $155.43K | $174.56K | $217.72K |
Interest Expense | $100.00K | $125.00K | $153.00K | $102.00K | $126.00K | $330.00K | $195.00K | $112.00K | $243.00K | $- | $43.00K | $- | $120.00K | $- | $- | $- | $- | $- | $- | $- |
Depreciation and Amortization | $1.84M | $1.93M | $1.91M | $1.88M | $1.70M | $1.64M | $1.59M | $1.47M | $1.35M | $1.24M | $812.00K | $723.00K | $639.00K | $576.29K | $586.25K | $571.54K | $567.72K | $597.24K | $613.56K | $603.99K |
EBITDA | $-394.00K | $736.00K | $1.34M | $-6.01M | $-4.40M | $3.36M | $7.21M | $13.52M | $19.24M | $23.49M | $17.36M | $12.53M | $13.69M | $9.94M | $8.29M | $5.02M | $4.28M | $4.28M | $4.20M | $1.32M |
EBITDA Ratio | -1.11% | 1.57% | -0.81% | -21.31% | -18.89% | 6.76% | 11.77% | 18.83% | 22.39% | 24.72% | 24.36% | 23.43% | 26.78% | 21.98% | 21.40% | 16.92% | 15.80% | 15.66% | 16.16% | 6.49% |
Operating Income | $-3.98M | $-3.01M | $-2.31M | $-9.74M | $-8.16M | $1.72M | $5.62M | $12.05M | $17.89M | $22.25M | $16.59M | $11.93M | $13.05M | $9.37M | $7.70M | $4.45M | $3.71M | $3.68M | $3.58M | $720.17K |
Operating Income Ratio | -11.21% | -6.44% | -4.73% | -26.39% | -23.84% | 3.45% | 9.18% | 16.79% | 20.82% | 23.41% | 23.28% | 22.30% | 25.53% | 20.71% | 19.88% | 14.99% | 13.71% | 13.47% | 13.80% | 3.53% |
Total Other Income Expenses Net | $1.64M | $1.69M | $1.58M | $1.75M | $1.94M | $1.55M | $1.44M | $1.28M | $60.00K | $-267.00K | $43.00K | $121.00K | $120.00K | $121.86K | $121.21K | $123.32K | $133.73K | $155.43K | $174.56K | $217.72K |
Income Before Tax | $-2.33M | $-1.32M | $-724.00K | $-7.99M | $-6.22M | $3.26M | $7.06M | $13.34M | $17.95M | $21.98M | $16.63M | $12.05M | $13.17M | $9.49M | $7.82M | $4.57M | $3.85M | $3.84M | $3.76M | $937.90K |
Income Before Tax Ratio | -6.57% | -2.82% | -1.48% | -21.66% | -18.17% | 6.57% | 11.52% | 18.57% | 20.89% | 23.13% | 23.34% | 22.53% | 25.77% | 20.98% | 20.20% | 15.41% | 14.20% | 14.04% | 14.47% | 4.60% |
Income Tax Expense | $-426.00K | $-492.00K | $-277.00K | $-2.08M | $-951.00K | $568.00K | $1.84M | $2.97M | $3.69M | $4.99M | $3.88M | $2.82M | $2.78M | $2.06M | $1.73M | $935.00K | $684.00K | $785.88K | $763.00K | $190.00K |
Net Income | $-1.91M | $-827.00K | $-447.00K | $-5.91M | $-5.27M | $2.70M | $5.22M | $10.36M | $14.26M | $16.99M | $12.74M | $9.24M | $10.39M | $7.43M | $6.10M | $3.64M | $3.16M | $3.05M | $2.99M | $747.90K |
Net Income Ratio | -5.37% | -1.77% | -0.92% | -16.01% | -15.39% | 5.43% | 8.51% | 14.43% | 16.59% | 17.88% | 17.89% | 17.27% | 20.33% | 16.42% | 15.74% | 12.26% | 11.68% | 11.16% | 11.53% | 3.66% |
EPS | $-0.13 | $-0.06 | $-0.03 | $-0.40 | $-0.35 | $0.18 | $0.34 | $0.68 | $1.01 | $1.23 | $0.93 | $0.67 | $0.76 | $0.54 | $0.44 | $0.27 | $0.23 | $0.22 | $0.22 | $0.05 |
EPS Diluted | $-0.13 | $-0.06 | $-0.03 | $-0.40 | $-0.35 | $0.18 | $0.34 | $0.68 | $1.00 | $1.22 | $0.92 | $0.66 | $0.75 | $0.53 | $0.44 | $0.27 | $0.23 | $0.22 | $0.22 | $0.05 |
Weighted Average Shares Outstanding | 14.21M | 14.58M | 14.25M | 14.63M | 15.21M | 15.26M | 15.25M | 15.23M | 14.17M | 13.80M | 13.77M | 13.77M | 13.74M | 13.74M | 13.73M | 13.73M | 13.69M | 13.65M | 13.50M | 13.52M |
Weighted Average Shares Outstanding Diluted | 14.21M | 14.23M | 14.25M | 14.63M | 15.21M | 15.26M | 15.25M | 15.26M | 14.28M | 13.92M | 13.90M | 13.90M | 13.90M | 13.86M | 13.81M | 13.78M | 13.70M | 13.65M | 13.50M | 13.52M |
SEC Filing | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source |
Annual Balance Sheet
Breakdown | September 30, 2024 | September 30, 2023 | September 30, 2022 | September 30, 2021 | September 30, 2020 |
---|---|---|---|---|---|
Cash and Cash Equivalents | $16.17M | $37.83M | $16.65M | $13.22M | $16.45M |
Short Term Investments | $114.83M | $130.29M | $5.80M | $10.37M | $10.58M |
Cash and Short Term Investments | $130.99M | $168.11M | $22.45M | $23.59M | $27.03M |
Net Receivables | $21.31M | $28.39M | $53.70M | $19.44M | $10.50M |
Inventory | $66.77M | $98.06M | $82.21M | $27.52M | $14.41M |
Other Current Assets | $10.53M | $1.70M | $1.76M | $953.95K | $585.44K |
Total Current Assets | $229.59M | $296.25M | $160.12M | $71.51M | $52.52M |
Property Plant Equipment Net | $39.75M | $35.39M | $31.48M | $7.30M | $7.65M |
Goodwill | $6.63M | $6.53M | $6.40M | $4.71M | $4.71M |
Intangible Assets | $6.34M | $6.09M | $6.38M | $4.70M | $4.83M |
Goodwill and Intangible Assets | $12.97M | $12.62M | $12.78M | $9.40M | $9.54M |
Long Term Investments | $24.50M | $6.34M | $22.75M | $36.91M | $25.14M |
Tax Assets | $6.13M | $3.04M | $1.41M | $365.47K | $178.12K |
Other Non-Current Assets | $2.32M | $1.87M | $581.00K | $418.98K | $266.86K |
Total Non-Current Assets | $85.68M | $59.26M | $69.00M | $54.40M | $42.77M |
Other Assets | $- | $- | $- | $- | $- |
Total Assets | $315.27M | $355.52M | $229.13M | $125.91M | $95.30M |
Account Payables | $6.72M | $8.89M | $24.12M | $9.21M | $3.69M |
Short Term Debt | $6.28M | $5.85M | $7.78M | $1.83M | $1.33M |
Tax Payables | $- | $84.00K | $1.79M | $933.00K | $- |
Deferred Revenue | $- | $8.53M | $- | $- | $- |
Other Current Liabilities | $11.36M | $5.66M | $18.01M | $8.49M | $5.39M |
Total Current Liabilities | $24.35M | $29.00M | $51.69M | $20.47M | $10.41M |
Long Term Debt | $15.00M | $10.63M | $29.08M | $1.61M | $2.13M |
Deferred Revenue Non-Current | $- | $- | $18.67M | $- | $- |
Deferred Tax Liabilities Non-Current | $161.00K | $721.00K | $774.00K | $- | $- |
Other Non-Current Liabilities | $- | $- | $- | $369 | $- |
Total Non-Current Liabilities | $15.16M | $11.35M | $29.85M | $1.62M | $2.13M |
Other Liabilities | $- | $- | $- | $- | $- |
Total Liabilities | $39.51M | $40.35M | $81.55M | $22.09M | $12.54M |
Preferred Stock | $- | $- | $- | $- | $- |
Common Stock | $142.00K | $153.00K | $138.00K | $137.32K | $136.50K |
Retained Earnings | $114.96M | $127.34M | $94.80M | $45.44M | $25.11M |
Accumulated Other Comprehensive Income Loss | $1.08M | $-544.00K | $-1.90M | $-0 | $-0 |
Other Total Stockholders Equity | $159.58M | $188.22M | $54.54M | $58.25M | $57.50M |
Total Stockholders Equity | $275.76M | $315.16M | $147.58M | $103.82M | $82.75M |
Total Equity | $275.76M | $315.16M | $147.58M | $103.82M | $82.75M |
Total Liabilities and Stockholders Equity | $315.27M | $355.52M | $229.13M | $125.91M | $95.30M |
Minority Interest | $- | $- | $- | $- | $- |
Total Liabilities and Total Equity | $315.27M | $355.52M | $229.13M | $125.91M | $95.30M |
Total Investments | $139.33M | $136.63M | $28.55M | $47.29M | $35.73M |
Total Debt | $18.36M | $22.77M | $36.85M | $2.53M | $2.79M |
Net Debt | $2.19M | $-15.06M | $20.20M | $-10.69M | $-13.65M |
Balance Sheet Charts
Breakdown | December 31, 2024 | September 30, 2024 | June 30, 2024 | March 31, 2024 | December 31, 2023 | September 30, 2023 | June 30, 2023 | March 31, 2023 | December 31, 2022 | September 30, 2022 | June 30, 2022 | March 31, 2022 | December 31, 2021 | September 30, 2021 | June 30, 2021 | March 31, 2021 | December 31, 2020 | September 30, 2020 | June 30, 2020 | March 31, 2020 |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Cash and Cash Equivalents | $30.45M | $16.17M | $25.62M | $15.82M | $34.48M | $37.83M | $31.39M | $137.08M | $30.31M | $16.65M | $14.19M | $13.92M | $12.68M | $13.22M | $21.31M | $22.34M | $19.15M | $16.45M | $9.28M | $8.58M |
Short Term Investments | $82.56M | $114.83M | $98.19M | $127.09M | $128.35M | $130.29M | $130.73M | $19.98M | $117.54M | $5.80M | $3.89M | $739.00K | $10.37M | $10.37M | $10.86M | $9.96M | $9.13M | $10.58M | $11.09M | $14.71M |
Cash and Short Term Investments | $113.01M | $130.99M | $123.82M | $142.91M | $162.84M | $168.11M | $162.11M | $157.06M | $147.85M | $22.45M | $18.09M | $14.66M | $23.05M | $23.59M | $32.17M | $32.30M | $28.28M | $27.03M | $20.37M | $23.28M |
Net Receivables | $14.06M | $21.31M | $27.64M | $21.90M | $17.36M | $28.39M | $31.94M | $39.38M | $55.14M | $53.70M | $31.59M | $21.84M | $16.33M | $19.44M | $16.18M | $13.20M | $9.80M | $10.50M | $9.10M | $8.07M |
Inventory | $59.22M | $66.77M | $74.87M | $83.98M | $94.61M | $98.06M | $105.00M | $100.84M | $89.70M | $82.21M | $69.34M | $60.92M | $43.57M | $27.52M | $20.98M | $14.63M | $13.69M | $14.41M | $14.88M | $11.69M |
Other Current Assets | $11.61M | $10.53M | $9.88M | $8.64M | $1.81M | $1.70M | $4.08M | $3.65M | $1.45M | $1.76M | $1.05M | $1.60M | $1.08M | $953.95K | $652.32K | $717.60K | $449.60K | $585.44K | $602.70K | $687.88K |
Total Current Assets | $197.91M | $229.59M | $236.20M | $257.43M | $276.62M | $296.25M | $303.14M | $300.94M | $294.14M | $160.12M | $120.07M | $99.02M | $84.04M | $71.51M | $69.98M | $60.84M | $52.21M | $52.52M | $44.96M | $43.73M |
Property Plant Equipment Net | $41.99M | $39.75M | $37.42M | $34.83M | $36.17M | $35.39M | $36.09M | $33.03M | $32.37M | $31.48M | $22.28M | $22.11M | $8.34M | $7.30M | $7.44M | $7.47M | $7.93M | $7.65M | $8.06M | $8.48M |
Goodwill | $6.49M | $6.63M | $6.55M | $6.57M | $6.62M | $6.53M | $6.58M | $6.59M | $6.54M | $6.40M | $4.71M | $4.71M | $4.71M | $4.71M | $4.71M | $4.71M | $4.71M | $4.71M | $4.71M | $4.71M |
Intangible Assets | $6.10M | $6.34M | $6.40M | $6.22M | $5.98M | $6.09M | $6.34M | $6.46M | $6.49M | $6.38M | $4.69M | $4.49M | $4.55M | $4.70M | $4.77M | $4.79M | $4.75M | $4.83M | $4.88M | $4.97M |
Goodwill and Intangible Assets | $12.60M | $12.97M | $12.95M | $12.79M | $12.60M | $12.62M | $12.93M | $13.05M | $13.03M | $12.78M | $9.40M | $9.20M | $9.26M | $9.40M | $9.47M | $9.50M | $9.46M | $9.54M | $9.58M | $9.68M |
Long Term Investments | $41.92M | $24.50M | $24.18M | $6.52M | $6.50M | $6.34M | $6.56M | $8.53M | $10.29M | $22.75M | $24.99M | $28.45M | $35.19M | $36.91M | $26.72M | $25.57M | $26.14M | $25.14M | $28.07M | $25.13M |
Tax Assets | $6.62M | $6.13M | $5.51M | $2.84M | $2.75M | $3.04M | $998.00K | $957.00K | $1.09M | $1.41M | $647.00K | $365.00K | $365.00K | $365.47K | $178.12K | $178.12K | $178.12K | $178.12K | $- | $- |
Other Non-Current Assets | $2.19M | $2.32M | $1.82M | $991.00K | $988.00K | $1.87M | $1.49M | $899.00K | $867.00K | $581.00K | $553.00K | $620.00K | $573.00K | $418.98K | $259.55K | $262.35K | $266.51K | $266.86K | $186.57K | $194.17K |
Total Non-Current Assets | $105.32M | $85.68M | $81.89M | $57.97M | $59.01M | $59.26M | $58.06M | $56.45M | $57.65M | $69.00M | $57.88M | $60.74M | $53.72M | $54.40M | $44.07M | $42.98M | $43.98M | $42.77M | $45.91M | $43.48M |
Other Assets | $- | $- | $- | $- | $- | $- | $- | $- | $1.00K | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Total Assets | $303.23M | $315.27M | $318.10M | $315.40M | $335.63M | $355.52M | $361.20M | $357.39M | $351.80M | $229.13M | $177.95M | $159.76M | $137.76M | $125.91M | $114.06M | $103.82M | $96.19M | $95.30M | $90.86M | $87.21M |
Account Payables | $4.33M | $6.72M | $9.05M | $5.91M | $7.37M | $8.89M | $11.64M | $16.68M | $18.37M | $24.12M | $16.24M | $15.02M | $12.37M | $9.21M | $6.65M | $5.01M | $1.87M | $3.69M | $3.88M | $3.87M |
Short Term Debt | $7.30M | $3.36M | $8.94M | $11.85M | $6.03M | $5.85M | $14.62M | $12.01M | $7.65M | $7.78M | $5.55M | $5.52M | $1.40M | $1.83M | $1.80M | $1.78M | $1.75M | $1.33M | $1.34M | $1.43M |
Tax Payables | $- | $- | $- | $- | $- | $84.00K | $- | $- | $- | $1.79M | $- | $- | $- | $933.00K | $- | $- | $- | $- | $- | $- |
Deferred Revenue | $-3.65M | $- | $- | $- | $- | $-14.26M | $-10.90M | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Other Current Liabilities | $7.10M | $14.28M | $10.18M | $8.61M | $11.56M | $14.18M | $10.65M | $11.37M | $19.30M | $18.01M | $8.90M | $4.80M | $8.31M | $8.49M | $7.26M | $5.10M | $4.15M | $5.39M | $3.59M | $3.09M |
Total Current Liabilities | $18.73M | $24.35M | $28.17M | $26.38M | $24.95M | $29.00M | $36.91M | $40.05M | $45.32M | $51.69M | $30.69M | $25.34M | $22.08M | $20.47M | $15.71M | $11.89M | $7.77M | $10.41M | $8.82M | $8.39M |
Long Term Debt | $17.07M | $15.00M | $15.28M | $9.10M | $9.97M | $10.63M | $11.57M | $11.12M | $11.84M | $29.08M | $10.48M | $11.19M | $1.21M | $1.61M | $1.85M | $2.08M | $2.31M | $2.13M | $2.30M | $2.47M |
Deferred Revenue Non-Current | $- | $- | $13.07M | $-721.00K | $-1 | $-721.00K | $-782.00K | $2.18M | $2.13M | $-10.41M | $- | $- | $- | $- | $- | $- | $- | $- | $-101.69K | $-101.69K |
Deferred Tax Liabilities Non-Current | $- | $161.00K | $67.00K | $721.00K | $607.00K | $721.00K | $782.00K | $822.00K | $756.00K | $774.00K | $- | $- | $- | $- | $- | $- | $- | $- | $101.69K | $101.69K |
Other Non-Current Liabilities | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $369 | $- | $- | $- | $- | $- | $- |
Total Non-Current Liabilities | $17.07M | $15.16M | $15.35M | $9.82M | $10.58M | $11.35M | $12.35M | $11.95M | $12.59M | $29.85M | $10.48M | $11.19M | $1.21M | $1.62M | $1.85M | $2.08M | $2.31M | $2.13M | $2.40M | $2.57M |
Other Liabilities | $- | $- | $- | $1 | $1 | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Total Liabilities | $35.80M | $39.51M | $43.52M | $36.20M | $35.53M | $40.35M | $49.27M | $52.00M | $57.92M | $81.55M | $41.17M | $36.54M | $23.29M | $22.09M | $17.56M | $13.97M | $10.08M | $12.54M | $11.22M | $10.96M |
Preferred Stock | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $1 | $- | $- | $- | $- | $- |
Common Stock | $141.00K | $142.00K | $142.00K | $144.00K | $149.00K | $153.00K | $153.00K | $153.00K | $152.00K | $138.00K | $138.00K | $138.00K | $138.00K | $137.32K | $137.43K | $137.33K | $137.28K | $136.50K | $136.47K | $136.28K |
Retained Earnings | $113.06M | $114.96M | $115.79M | $116.24M | $122.15M | $127.34M | $124.64M | $119.42M | $109.06M | $94.80M | $77.81M | $65.07M | $55.83M | $45.44M | $38.02M | $31.92M | $28.28M | $25.11M | $22.06M | $19.07M |
Accumulated Other Comprehensive Income Loss | $-17.00K | $1.08M | $15.00K | $130.00K | $177.47M | $-544.00K | $-268.00K | $-234.00K | $-733.00K | $-1.90M | $-960.00K | $-932.00K | $-0 | $-0 | $0 | $- | $0 | $-10.18M | $- | $- |
Other Total Stockholders Equity | $154.25M | $159.58M | $158.63M | $162.70M | $177.32M | $188.22M | $187.41M | $186.06M | $185.40M | $54.54M | $59.78M | $58.95M | $58.51M | $58.25M | $58.34M | $57.79M | $57.70M | $57.50M | $57.44M | $57.04M |
Total Stockholders Equity | $267.44M | $275.76M | $274.57M | $279.21M | $300.10M | $315.16M | $311.93M | $305.40M | $293.88M | $147.58M | $136.77M | $123.22M | $114.47M | $103.82M | $96.49M | $89.85M | $86.11M | $82.75M | $79.64M | $76.25M |
Total Equity | $267.44M | $275.76M | $274.57M | $279.21M | $300.10M | $315.16M | $311.93M | $305.40M | $293.88M | $147.58M | $136.77M | $123.22M | $114.47M | $103.82M | $96.49M | $89.85M | $86.11M | $82.75M | $79.64M | $76.25M |
Total Liabilities and Stockholders Equity | $303.23M | $315.27M | $318.10M | $315.40M | $335.63M | $355.52M | $361.20M | $357.39M | $351.80M | $229.13M | $177.95M | $159.76M | $137.76M | $125.91M | $114.06M | $103.82M | $96.19M | $95.30M | $90.86M | $87.21M |
Minority Interest | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Total Liabilities and Total Equity | $303.23M | $315.27M | $318.10M | $315.40M | $335.63M | $355.52M | $361.20M | $357.39M | $351.80M | $229.13M | $177.95M | $159.76M | $137.76M | $125.91M | $114.06M | $103.82M | $96.19M | $95.30M | $90.86M | $87.21M |
Total Investments | $124.48M | $139.33M | $122.38M | $133.61M | $134.86M | $136.63M | $137.28M | $28.51B | $127.83M | $28.55M | $28.89M | $29.19M | $45.56M | $47.29M | $37.59M | $35.52M | $35.27M | $35.73M | $39.17M | $39.84M |
Total Debt | $20.72M | $18.36M | $24.22M | $20.95M | $16.00M | $22.77M | $26.19M | $23.13M | $19.49M | $36.85M | $13.25M | $13.95M | $1.92M | $2.53M | $2.75M | $2.97M | $3.18M | $2.79M | $2.97M | $3.18M |
Net Debt | $-9.73M | $2.19M | $-1.40M | $5.13M | $-18.49M | $-15.06M | $-5.20M | $-113.95M | $-10.82M | $20.20M | $-938.00K | $29.00K | $-10.77M | $-10.69M | $-18.56M | $-19.37M | $-15.97M | $-13.65M | $-6.31M | $-5.39M |
Annual Cash Flow
Breakdown | September 30, 2024 | September 30, 2023 | September 30, 2022 | September 30, 2021 | September 30, 2020 |
---|---|---|---|---|---|
Net Income | $-12.45M | $32.53M | $49.36M | $20.33M | $7.29M |
Depreciation and Amortization | $7.41M | $6.05M | $3.41M | $2.30M | $2.42M |
Deferred Income Tax | $-4.08M | $-2.11M | $-326.00K | $-187.35K | $-279.81K |
Stock Based Compensation | $4.64M | $3.58M | $2.34M | $1.28M | $774.00K |
Change in Working Capital | $31.11M | $-16.53M | $-53.76M | $-13.02M | $-3.49M |
Accounts Receivables | $7.80M | $26.28M | $-24.23M | $-9.15M | $-1.38M |
Inventory | $31.99M | $-15.08M | $-43.74M | $-13.12M | $-5.40M |
Accounts Payables | $- | $-26.26B | $14.50B | $9.78M | $3.15M |
Other Working Capital | $-8.68M | $26.23B | $-14.49B | $-531.20K | $127.77K |
Other Non Cash Items | $-4.41M | $-3.51M | $-29.00K | $202.29K | $-58.54K |
Net Cash Provided by Operating Activities | $22.22M | $20.01M | $1.00M | $10.90M | $6.66M |
Investments in Property Plant and Equipment | $-9.57M | $-8.38M | $-9.15M | $-2.05M | $-1.81M |
Acquisitions Net | $- | $103.86M | $-16.19M | $11.55M | $-1.76M |
Purchases of Investments | $-159.39M | $-210.92M | $-248.00K | $-24.81M | $-34.06M |
Sales Maturities of Investments | $162.06M | $107.06M | $17.39M | $13.26M | $35.82M |
Other Investing Activities | $- | $-103.86M | $17.14M | $-11.55M | $1.76M |
Net Cash Used for Investing Activities | $-6.90M | $-112.25M | $-8.20M | $-13.60M | $-41.13K |
Debt Repayment | $-3.62M | $-16.70M | $16.70M | $- | $- |
Common Stock Issued | $- | $130.26M | $544.00K | $384.00K | $349.00K |
Common Stock Repurchased | $-33.37M | $-609.00K | $-1.41M | $-462.00K | $-428.65K |
Dividends Paid | $- | $- | $- | $- | $- |
Other Financing Activities | $-8.00K | $463.00K | $-5.18M | $-458.00K | $9.27K |
Net Cash Used Provided by Financing Activities | $-36.91M | $113.42M | $10.65M | $-536.00K | $-246.73K |
Effect of Forex Changes on Cash | $-81.00K | $-2.00K | $-24.00K | $- | $- |
Net Change in Cash | $-21.66M | $21.18M | $3.43M | $-3.23M | $6.37M |
Cash at End of Period | $16.17M | $37.83M | $16.65M | $13.22M | $16.45M |
Cash at Beginning of Period | $37.83M | $16.65M | $13.22M | $16.45M | $10.08M |
Operating Cash Flow | $22.22M | $20.01M | $1.00M | $10.90M | $6.66M |
Capital Expenditure | $-9.57M | $-8.38M | $-9.15M | $-2.05M | $-1.81M |
Free Cash Flow | $12.66M | $11.63M | $-8.15M | $8.86M | $4.85M |
Cash Flow Charts
Breakdown | December 31, 2024 | September 30, 2024 | June 30, 2024 | March 31, 2024 | December 31, 2023 | September 30, 2023 | June 30, 2023 | March 31, 2023 | December 31, 2022 | September 30, 2022 | June 30, 2022 | March 31, 2022 | December 31, 2021 | September 30, 2021 | June 30, 2021 | March 31, 2021 | December 31, 2020 | September 30, 2020 | June 30, 2020 | March 31, 2020 |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Net Income | $-1.91M | $-827.00K | $-447.00K | $-5.91M | $-5.27M | $2.70M | $5.22M | $10.36M | $14.26M | $16.99M | $12.74M | $9.24M | $10.39M | $7.43M | $6.10M | $3.64M | $3.16M | $3.05M | $2.99M | $747.90K |
Depreciation and Amortization | $1.84M | $1.93M | $1.91M | $1.88M | $1.70M | $1.64M | $1.59M | $1.47M | $1.35M | $1.24M | $812.00K | $723.00K | $639.00K | $576.29K | $586.25K | $571.54K | $567.72K | $597.24K | $613.56K | $603.99K |
Deferred Income Tax | $-544.00K | $-555.00K | $-28.00K | $125.00K | $-320.00K | $-2.11M | $35.00K | $45.00K | $-80.00K | $-326.00K | $- | $- | $- | $-187.35K | $- | $- | $- | $- | $- | $- |
Stock Based Compensation | $1.14M | $1.20M | $1.15M | $1.01M | $1.27M | $1.07M | $1.06M | $784.00K | $660.00K | $692.00K | $637.00K | $570.00K | $440.00K | $313.85K | $343.06K | $334.18K | $289.06K | $231.67K | $213.36K | $87.94K |
Change in Working Capital | $7.39M | $13.11M | $5.69M | $658.00K | $11.65M | $4.31M | $-3.27M | $-2.70M | $-14.87M | $-8.28M | $-12.22M | $-21.77M | $-11.49M | $-5.34M | $-5.61M | $-772.13K | $-1.30M | $611.21K | $-3.67M | $983.92K |
Accounts Receivables | $6.87M | $6.85M | $- | $-5.15M | $11.75M | $1.76M | $8.17M | $16.90M | $-549.00K | $-12.08M | $-9.76M | $-5.51M | $3.11M | $-3.26M | $-2.99M | $-3.61M | $699.03K | $-1.40M | $-1.03M | $-1.04M |
Inventory | $6.87M | $8.55M | $9.03M | $10.24M | $4.17M | $6.43M | $-4.27M | $-10.74M | $-6.50M | $-1.93M | $-8.42M | $-17.34M | $-16.05M | $-6.55M | $-6.35M | $-939.59K | $720.95K | $473.41K | $-3.19M | $-1.06M |
Accounts Payables | $-5.33M | $- | $- | $2.33M | $-5.08M | $-5.93M | $-6.05M | $-6.64M | $-7.64M | $4.08M | $8.68M | $1.59M | $1.75M | $9.78M | $3.80M | $- | $-2.86M | $- | $- | $- |
Other Working Capital | $-1.03M | $-2.29M | $-3.34M | $-6.77M | $815.00K | $2.06M | $-1.12M | $-2.23M | $-176.00K | $1.65M | $-2.72M | $1.08M | $-300.00K | $-5.31M | $3.73M | $3.77M | $136.18K | $1.53M | $555.15K | $3.09M |
Other Non Cash Items | $-766.00K | $-1.10M | $-4.41M | $-3.52M | $-1.20M | $-1.08M | $-1.25M | $-921.00K | $-218.00K | $-29.00K | $21.00K | $-10.00K | $-11.00K | $-6.45K | $-876 | $209.61K | $-2.86M | $-274.02K | $-8.69K | $-27.59K |
Net Cash Provided by Operating Activities | $7.15M | $13.76M | $3.87M | $-3.23M | $7.83M | $6.53M | $3.34M | $9.04M | $1.10M | $10.29M | $1.99M | $-11.25M | $-34.00K | $2.79M | $1.42M | $3.98M | $2.72M | $4.22M | $143.91K | $2.40M |
Investments in Property Plant and Equipment | $-2.07M | $-3.96M | $-1.22M | $-1.98M | $-2.41M | $-1.85M | $-1.73M | $-2.58M | $-2.21M | $-2.38M | $-1.92M | $-2.79M | $-2.05M | $-770.89K | $-593.11K | $-303.13K | $-378.88K | $-312.86K | $-310.00K | $-394.87K |
Acquisitions Net | $- | $- | $- | $- | $2.41M | $- | $107.46M | $-100.50M | $- | $-16.19M | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Purchases of Investments | $-39.02M | $-35.26M | $-76.39M | $- | $-47.75M | $- | $-111.80M | $-245.00K | $-98.88M | $- | $- | $- | $-248.00K | $-12.91M | $-5.46M | $-2.48M | $-3.97M | $-2.22M | $-12.76M | $-15.87M |
Sales Maturities of Investments | $54.48M | $20.00M | $88.77M | $2.23M | $51.07M | $1.98M | $4.33M | $100.74M | $- | $- | $- | $15.41M | $1.98M | $3.21M | $3.39M | $2.23M | $4.43M | $5.66M | $13.44M | $12.28M |
Other Investing Activities | $- | $- | $- | $2.23M | $-2.41M | $1.98M | $-107.46M | $100.50M | $-98.88M | $- | $- | $15.41M | $1.73M | $-9.69M | $-2.06M | $-255.00K | $458.00K | $3.44M | $682.00K | $-3.58M |
Net Cash Used for Investing Activities | $13.39M | $-19.22M | $11.17M | $248.00K | $908.00K | $128.00K | $-109.19M | $97.91M | $-101.09M | $-18.57M | $-1.92M | $12.62M | $-319.00K | $-10.46M | $-2.66M | $-558.43K | $79.12K | $3.13M | $372.00K | $-3.98M |
Debt Repayment | $77.00K | $-3.62M | $- | $- | $- | $- | $- | $- | $-16.70M | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Common Stock Issued | $301.00K | $- | $336.00K | $- | $- | $-1.00K | $313.00K | $299.00K | $130.26M | $- | $295.00K | $- | $249.00K | $-458.02K | $204.00K | $- | $- | $-1.40K | $179.12K | $- |
Common Stock Repurchased | $-6.77M | $-253.00K | $-5.56M | $-15.63M | $-12.42M | $-266.00K | $- | $- | $-954.00K | $-1.13M | $- | $-126.00K | $-274.00K | $-410.00K | $- | $-237.00K | $179.08K | $- | $- | $-428.65K |
Dividends Paid | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Other Financing Activities | $- | $1.00K | $- | $-259.00K | $250.00K | $2.00K | $-22.00K | $-428.00K | $911.00K | $11.90M | $-97.00K | $-126.00K | $-156.00K | $200 | $54.00K | $-237.00K | $-273.00K | $-170.61K | $8.39K | $2 |
Net Cash Used Provided by Financing Activities | $-6.39M | $-3.87M | $-5.22M | $-15.64M | $-12.17M | $-265.00K | $292.00K | $-129.00K | $113.52M | $10.76M | $198.00K | $-126.00K | $-181.00K | $-409.00K | $204.00K | $-237.00K | $-94.00K | $-172.02K | $187.51K | $-428.65K |
Effect of Forex Changes on Cash | $132.00K | $-129.00K | $-3.00K | $-42.00K | $93.00K | $50.00K | $-134.00K | $-55.00K | $135.00K | $-25.00K | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Net Change in Cash | $14.29M | $-9.46M | $9.81M | $-18.67M | $-3.34M | $6.44M | $-105.70M | $106.77M | $13.66M | $2.46M | $269.00K | $1.24M | $-534.00K | $-8.09M | $-1.03M | $3.19M | $2.70M | $7.17M | $703.41K | $-2.01M |
Cash at End of Period | $30.45M | $16.17M | $25.62M | $15.82M | $34.48M | $37.83M | $31.39M | $137.08M | $30.31M | $16.65M | $14.19M | $13.92M | $12.68M | $13.22M | $21.31M | $22.34M | $19.15M | $16.45M | $9.28M | $8.58M |
Cash at Beginning of Period | $16.17M | $25.62M | $15.82M | $34.48M | $37.83M | $31.39M | $137.08M | $30.31M | $16.65M | $14.19M | $13.92M | $12.68M | $13.22M | $21.31M | $22.34M | $19.15M | $16.45M | $9.28M | $8.58M | $10.59M |
Operating Cash Flow | $7.15M | $13.76M | $3.87M | $-3.23M | $7.83M | $6.53M | $3.34M | $9.04M | $1.10M | $10.29M | $1.99M | $-11.25M | $-34.00K | $2.79M | $1.42M | $3.98M | $2.72M | $4.22M | $143.91K | $2.40M |
Capital Expenditure | $-2.07M | $-3.96M | $-1.22M | $-1.98M | $-2.41M | $-1.85M | $-1.73M | $-2.58M | $-2.21M | $-2.38M | $-1.92M | $-2.79M | $-2.05M | $-770.89K | $-593.11K | $-303.13K | $-378.88K | $-312.86K | $-310.00K | $-394.87K |
Free Cash Flow | $5.08M | $9.80M | $2.65M | $-5.21M | $5.42M | $4.67M | $1.61M | $6.45M | $-1.11M | $7.91M | $72.00K | $-14.04M | $-2.08M | $2.01M | $824.40K | $3.68M | $2.34M | $3.90M | $-166.10K | $2.00M |
Clearfield Dividends
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Clearfield, Inc. (CLFD) Q1 2025 Earnings Call Transcript
Start Time: 17:00 January 1, 0000 5:34 PM ET Clearfield, Inc. (NASDAQ:CLFD ) Q1 2025 Earnings Conference Call February 06, 2025, 17:00 PM ET Company Participants Cheri Beranek - President and CEO Dan Herzog - CFO Greg McNiff - IR Conference Call Participants Matt Cavanagh - Needham Tim Savageaux - Northland Capital Markets Scott Searle - ROTH Capital Partners Operator Good day, and welcome to the Clearfield Fiscal First Quarter 2025 Conference Call. All participants will be in a listen-only mode.

Clearfield Sets Fiscal First Quarter 2025 Earnings Call for Thursday, February 6, 2025
MINNEAPOLIS, Jan. 16, 2025 (GLOBE NEWSWIRE) -- Clearfield, Inc. (NASDAQ: CLFD), the leader in community broadband fiber connectivity, today announced that it will release results for the first quarter of fiscal 2025, ended December 31, 2024, on Thursday, February 6, 2025, after the close of the market. The company will host a conference call at 5:00 p.m. Eastern time (4:00 p.m. Central time) to discuss its financial results with the investment community.

Clearfield to Present at the Needham Growth Conference
MINNEAPOLIS--(BUSINESS WIRE)-- #Broadband--Clearfield, Inc. (NASDAQ: CLFD), the leader in community broadband fiber connectivity, will participate in a fireside chat at the Needham Growth Conference on January 14, 2025. The conference will be held at the Lotte New York Palace Hotel in New York City. Clearfield's President and Chief Executive Officer, Cheri Beranek, and Chief Financial Officer, Dan Herzog, are scheduled to present on Tuesday, January 14, at 10:15 a.m. Eastern time. A live webcast, as well as.

Clearfield, Inc. (CLFD) Q4 2024 Earnings Call Transcript
Clearfield, Inc. (NASDAQ:CLFD ) Q4 2024 Earnings Conference Call November 7, 2024 5:00 PM ET Company Participants Greg McNiff - Investor Relations Cheri Beranek - President and Chief Executive Officer Dan Herzog - Chief Financial Officer Conference Call Participants Operator Good afternoon, and welcome to the Clearfield Fiscal Fourth Quarter and Full Year 2024 Conference Call. All participants will be in a listen-only mode.

Clearfield Elects Kate Kelly and Ademir Sarcevic to the Board of Directors
MINNEAPOLIS, Nov. 06, 2024 (GLOBE NEWSWIRE) -- Clearfield, Inc. (NASDAQ: CLFD), the leader in community broadband fiber connectivity, today announced the election of Kate Kelly and Ademir Sarcevic to its Board of Directors, effective December 11, 2024.

Clearfield Sets Fiscal Fourth Quarter 2024 Earnings Call for Thursday, November 7, 2024
MINNEAPOLIS, Oct. 24, 2024 (GLOBE NEWSWIRE) -- Clearfield, Inc. (NASDAQ: CLFD), the leader in community broadband fiber connectivity, today announced that its fourth quarter ended September 30, 2024, results will be released on Thursday, November 7, 2024, after the close of the market. The company will host a conference call at 5:00 p.m. Eastern time (4:00 p.m. Central time) to discuss its financial results with the investment community.

Clearfield, Inc. (CLFD) Q3 2024 Earnings Call Transcript
Clearfield, Inc. (NASDAQ:CLFD ) Q3 2024 Earnings Conference Call August 1, 2024 5:00 PM ET Company Participants Greg McNiff - Investor Relations Cheri Beranek - President, Chief Executive Officer Dan Herzog - Chief Financial Officer Conference Call Participants Ryan Koontz - Needham & Company Jaeson Schmidt - Lake Street Capital Scott Searle - ROTH Capital Partners Operator Good afternoon, and welcome to the Clearfield Fiscal Third Quarter 2024 Conference Call. All participants are in a listen-only mode.

Clearfield Sets Fiscal Third Quarter 2024 Earnings Call for Thursday, August 1, 2024
MINNEAPOLIS, July 18, 2024 (GLOBE NEWSWIRE) -- Clearfield, Inc. (NASDAQ: CLFD), the leader in community broadband fiber connectivity, today announced that its third quarter ended June 30, 2024, results will be released on Thursday, August 1, 2024, after the close of the market. The company will host a conference call at 5:00 p.m. Eastern time (4:00 p.m. Central time) to discuss its financial results with the investment community.

Clearfield, Inc. (CLFD) Q2 2024 Earnings Call Transcript
Clearfield, Inc. (NASDAQ:CLFD ) Q2 2024 Results Conference Call May 2, 2024 5:00 PM ET Company Participants Greg McNiff - IR Cheri Beranek - President, CEO Dan Herzog - CFO Conference Call Participants Ryan Koontz - Needham & Company Scott Searle - ROTH Capital Partners Jaeson Schmidt - Lake Street Capital Operator Ladies and gentlemen, greetings, and welcome to the Clearfield Fiscal Second Quarter 2024 Earnings Conference Call. At this time, all participants are in a listen-only mode.

Clearfield to Present at the Needham Technology, Media, & Consumer Conference
MINNEAPOLIS--(BUSINESS WIRE)-- #Broadband--Clearfield, Inc. (NASDAQ: CLFD), the leader in community broadband fiber connectivity, will participate in a fireside chat at the Needham Technology, Media, & Consumer Conference on May 14, 2024. The conference will be held at the Westin Grand Central Hotel in New York City. Clearfield's President and Chief Executive Officer, Cheri Beranek, and Chief Financial Officer, Dan Herzog, are scheduled to present on Tuesday, May 14, at 9:30 a.m. Eastern time. A live we.

Clearfield Sets Fiscal Second Quarter 2024 Earnings Call for Thursday, May 2, 2024
MINNEAPOLIS, April 19, 2024 (GLOBE NEWSWIRE) -- Clearfield, Inc. (NASDAQ: CLFD), the leader in community broadband fiber connectivity, today announced that its second quarter ended March 31, 2024, results will be released on Thursday, May 2, 2024, after the close of the market. The company will host a conference call at 5:00 p.m. Eastern time (4:00 p.m. Central time) to discuss its financial results with the investment community.

Clearfield® Streamlines its Supply Chain with CraftSmart® Fiber Protection Vault for Underground Deployments
MINNEAPOLIS--(BUSINESS WIRE)-- #Broadband--Clearfield (NASDAQ:CLFD), the leader in community broadband fiber connectivity, today announced the availability of the CraftSmart® Fiber Protection Vault, an innovative, new design that eliminates the current supply chain constraints and delivers a 300% improvement in shipping and inventory space. The innovative design, crafted by Clearfield's internal design team, allows the vaults to be shipped unassembled and flat packed, which enables shipping multiple vaults.

Clearfield Sets Fiscal First Quarter 2024 Earnings Call for Thursday, February 1, 2024
MINNEAPOLIS, Jan. 18, 2024 (GLOBE NEWSWIRE) -- Clearfield, Inc. (NASDAQ: CLFD), the leader in community broadband fiber connectivity, today announced that its first quarter ended December 31, 2023 results will be released on Thursday, February 1, 2024, after the close of the market. The company will host a conference call at 5:00 p.m. Eastern time (4:00 p.m. Central time) to discuss its financial results with the investment community.

Clearfield: If You're Looking For A Bargain, Here's One To Consider
Clearfield, Inc. stock has had a horrific year: it's down almost 70 % this year. Given the fall, Clearfield stock now looks cheap and is available at an enterprise value to revenue (EV/R) ratio of just above 1. Steps taken by management to support growth aid the quantitative factors suggesting future outperformance. I'm issuing a Buy rating but recommend holding Clearfield, Inc. stock in a diversified portfolio.

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