Cavco Industries Key Executives

This section highlights Cavco Industries's key executives, including their titles and compensation details.

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Cavco Industries Earnings

This section highlights Cavco Industries's earnings, including key dates, EPS, earnings reports, and earnings call transcripts.

Next Earnings Date

Date: May 22, 2025
Time: After Market
Est. EPS: $5.93
Status: Unconfirmed

Last Earnings Results

Date: January 30, 2025
EPS: $6.90
Est. EPS: $4.89
Revenue: $522.04M

Earnings Call Transcripts

Transcript Quarter Year Date Estimated EPS Actual EPS
Read Transcript Q3 2025 2025-01-31 N/A N/A
Read Transcript Q2 2025 2024-11-01 N/A N/A
Read Transcript Q1 2025 2024-08-02 N/A N/A
Read Transcript Q4 2024 2024-05-24 N/A N/A
Read Transcript Q3 2024 2024-02-02 N/A N/A
Read Transcript Q2 2024 2023-11-03 N/A N/A
Read Transcript Q1 2024 2023-08-04 N/A N/A
Read Transcript Q4 2023 2023-05-19 N/A N/A
Read Transcript Q3 2023 2023-02-03 N/A N/A
Read Transcript Q2 2023 2022-11-04 N/A N/A
Read Transcript Q1 2023 2022-08-05 N/A N/A

Cavco Industries, Inc. (CVCO)

Cavco Industries, Inc. designs, produces, and retails manufactured homes primarily in the United States. It operates in two segments, Factory-Built Housing and Financial Services. The company markets its manufactured homes under the Cavco, Fleetwood, Palm Harbor, Nationwide, Fairmont, Friendship, Chariot Eagle, Destiny, Commodore, Colony, Pennwest, R-Anell, Manorwood, and MidCountry brands. It also builds park model RVs; vacation cabins; and factory-built commercial structures, including apartment buildings, condominiums, hotels, workforce housing, schools, and housing for the United States military troops. In addition, the company produces various modular homes, which include single and multi-section ranch, split-level, and Cape Cod style homes, as well as two- and three-story homes, and multi-family units. Further, it provides conforming and non-conforming mortgages and home-only loans to purchasers of various brands of factory-built homes sold by company-owned retail stores, as well as various independent distributors, builders, communities, and developers. Additionally, the company offers property and casualty insurance to owners of manufactured homes. As of April 3, 2022, it operated 45 company-owned retail stores in Oregon, Arizona, Nevada, New Mexico, Texas, Indiana, Oklahoma, Florida, and New York. The company also distributes its homes through a network of independent distribution points in 48 states and Canada; and through planned community operators and residential developers. Cavco Industries, Inc. was founded in 1965 and is headquartered in Phoenix, Arizona.

Consumer Cyclical Residential Construction

$530.64

Stock Price

$4.25B

Market Cap

250

Employees

Phoenix, AZ

Location

Financial Statements

Access annual & quarterly financial statements for Cavco Industries, including income statements, balance sheets, and cash flow statements..

Annual Income Statement

Breakdown March 30, 2024 April 01, 2023 April 02, 2022 April 03, 2021 March 28, 2020
Revenue $1.79B $2.14B $1.63B $1.11B $1.06B
Cost of Revenue $1.37B $1.59B $1.22B $869.07M $831.26M
Gross Profit $426.90M $554.93M $408.75M $238.98M $230.52M
Gross Profit Ratio 23.79% 25.90% 25.12% 21.60% 21.71%
Research and Development Expenses $- $- $- $- $-
General and Administrative Expenses $- $- $- $- $-
Selling and Marketing Expenses $- $- $- $- $-
Selling General and Administrative Expenses $247.92M $258.32M $206.25M $150.15M $145.61M
Other Expenses $- $385.00K $10.20M $8.82M $9.57M
Operating Expenses $247.92M $258.32M $206.25M $150.15M $145.61M
Cost and Expenses $1.62B $1.85B $1.42B $1.02B $976.87M
Interest Income $21.00M $10.68M $3.54M $2.14M $8.42M
Interest Expense $1.65M $910.00K $702.00K $738.00K $1.50M
Depreciation and Amortization $18.52M $16.90M $11.02M $6.32M $5.78M
EBITDA $195.86M $315.00M $212.81M $94.41M $89.19M
EBITDA Ratio 10.91% 14.36% 13.07% 8.81% 8.90%
Operating Income $178.98M $184.79M $202.50M $88.83M $84.91M
Operating Income Ratio 9.97% 8.62% 12.44% 8.02% 8.00%
Total Other Income Expenses Net $20.20M $10.15M $9.49M $8.09M $8.07M
Income Before Tax $199.18M $306.76M $211.99M $96.91M $92.98M
Income Before Tax Ratio 11.10% 14.32% 13.03% 8.75% 8.76%
Income Tax Expense $41.27M $65.92M $14.25M $20.27M $17.91M
Net Income $157.82M $240.55M $197.70M $76.65M $75.07M
Net Income Ratio 8.79% 11.23% 12.15% 6.92% 7.07%
EPS $18.55 $27.20 $21.54 $8.34 $8.22
EPS Diluted $18.37 $26.95 $21.34 $8.25 $8.10
Weighted Average Shares Outstanding 8.51M 8.84M 9.18M 9.19M 9.13M
Weighted Average Shares Outstanding Diluted 8.59M 8.92M 9.26M 9.29M 9.27M
SEC Filing Source Source Source Source Source


Breakdown December 28, 2024 September 28, 2024 June 29, 2024 March 30, 2024 December 30, 2023 September 30, 2023 July 01, 2023 April 01, 2023 December 31, 2022 October 01, 2022 July 02, 2022 April 02, 2022 January 01, 2022 October 02, 2021 July 03, 2021 April 03, 2021 December 26, 2020 September 26, 2020 June 27, 2020 March 28, 2020
Revenue $522.04M $507.46M $477.60M $419.22M $446.77M $452.03M $475.88M $476.38M $500.60M $577.39M $588.34M $505.48M $431.71M $359.54M $330.42M $306.50M $288.77M $257.98M $254.80M $255.34M
Cost of Revenue $392.09M $391.34M $374.20M $321.10M $343.72M $345.07M $358.00M $355.74M $368.63M $419.79M $443.61M $375.88M $316.51M $269.62M $256.41M $235.63M $229.53M $204.44M $199.48M $203.44M
Gross Profit $129.95M $116.12M $103.40M $98.11M $103.05M $106.96M $117.88M $120.64M $131.97M $157.60M $144.72M $129.60M $115.21M $89.93M $74.01M $70.88M $59.24M $53.54M $55.32M $51.90M
Gross Profit Ratio 24.89% 22.90% 21.70% 23.40% 23.10% 23.70% 24.80% 25.30% 26.40% 27.30% 24.60% 25.60% 26.70% 25.00% 22.40% 23.10% 20.50% 20.80% 21.70% 20.33%
Research and Development Expenses $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
General and Administrative Expenses $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $106.09M $35.41M $35.45M $35.22M $37.02M
Selling and Marketing Expenses $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-62.13M $- $- $100.00K $400.00K
Selling General and Administrative Expenses $65.98M $67.00M $64.85M $61.42M $63.31M $61.51M $61.68M $66.39M $58.90M $66.89M $66.14M $59.73M $60.32M $45.37M $40.83M $43.96M $35.41M $35.45M $35.32M $37.42M
Other Expenses $- $- $-111.00K $292.00K $-224.00K $655.00K $126.00K $676.00K $3.23M $2.34M $883.00K $-1.19M $4.26M $4.67M $2.46M $3.00M $2.24M $1.70M $1.88M $-631.00K
Operating Expenses $65.98M $67.00M $64.85M $61.42M $63.31M $61.51M $61.68M $66.39M $58.90M $66.89M $66.14M $59.73M $60.32M $45.37M $40.83M $43.96M $35.41M $35.45M $35.32M $37.42M
Cost and Expenses $458.07M $458.34M $439.05M $382.52M $407.03M $406.58M $419.68M $422.13M $427.54M $486.69M $509.75M $435.61M $376.83M $314.99M $297.24M $279.59M $264.95M $239.89M $234.80M $240.86M
Interest Income $5.35M $5.69M $5.51M $5.33M $5.23M $5.81M $4.62M $3.93M $3.58M $1.85M $1.31M $- $- $- $- $- $- $- $- $-
Interest Expense $155.00K $125.00K $90.00K $284.00K $842.00K $257.00K $266.00K $300.00K $216.00K $233.00K $161.00K $126.00K $209.00K $203.00K $164.00K $171.00K $177.00K $194.00K $196.00K $217.00K
Depreciation and Amortization $4.78M $4.76M $4.76M $4.67M $4.60M $6.47M $4.57M $4.73M $3.89M $4.34M $3.95M $4.27M $3.56M $1.61M $1.58M $1.59M $1.55M $1.57M $1.61M $1.57M
EBITDA $74.28M $59.83M $43.22M $41.98M $49.35M $49.86M $60.50M $61.08M $76.74M $94.81M $82.37M $74.01M $58.24M $45.97M $34.59M $28.33M $25.20M $19.46M $21.42M $15.84M
EBITDA Ratio 14.23% 11.79% 9.07% 9.87% 9.92% 11.49% 12.81% 12.36% 15.24% 16.11% 13.51% 13.59% 13.70% 13.69% 10.79% 9.76% 9.03% 7.67% 8.59% 5.42%
Operating Income $63.97M $49.12M $38.55M $36.69M $39.74M $45.45M $56.20M $54.25M $73.06M $90.70M $78.59M $69.87M $54.89M $44.56M $33.18M $26.91M $23.82M $18.09M $20.00M $14.48M
Operating Income Ratio 12.25% 9.68% 8.07% 8.75% 8.89% 10.05% 11.81% 11.39% 14.60% 15.71% 13.36% 13.82% 12.71% 12.39% 10.04% 8.78% 8.25% 7.01% 7.85% 5.67%
Total Other Income Expenses Net $5.37M $5.83M $5.31M $5.34M $4.17M $6.21M $4.48M $4.31M $3.02M $2.11M $722.00K $-1.32M $4.05M $4.46M $2.30M $2.83M $2.07M $1.51M $1.68M $-848.00K
Income Before Tax $69.34M $54.95M $43.86M $42.94M $43.91M $51.66M $60.68M $58.56M $76.08M $92.81M $79.31M $68.56M $58.94M $49.02M $35.48M $29.75M $25.89M $19.60M $21.68M $13.63M
Income Before Tax Ratio 13.28% 10.83% 9.18% 10.24% 9.83% 11.43% 12.75% 12.29% 15.20% 16.07% 13.48% 13.56% 13.65% 13.63% 10.74% 9.70% 8.97% 7.60% 8.51% 5.34%
Income Tax Expense $12.87M $11.13M $9.43M $9.00M $7.92M $10.09M $14.27M $11.20M $16.49M $18.61M $19.62M $15.16M $-20.68M $11.34M $8.43M $4.52M $6.19M $4.55M $5.01M $1.63M
Net Income $56.46M $43.81M $34.43M $33.93M $35.99M $41.54M $46.36M $47.31M $59.52M $74.12M $59.60M $53.62M $79.42M $37.61M $27.05M $25.22M $19.70M $15.05M $16.67M $12.00M
Net Income Ratio 10.82% 8.63% 7.21% 8.09% 8.05% 9.19% 9.74% 9.93% 11.89% 12.84% 10.13% 10.61% 18.40% 10.46% 8.19% 8.23% 6.82% 5.83% 6.54% 4.70%
EPS $6.97 $5.33 $4.15 $4.07 $4.31 $4.80 $5.35 $5.45 $6.71 $8.32 $6.68 $5.86 $8.66 $4.09 $2.94 $2.74 $2.14 $1.64 $1.82 $1.31
EPS Diluted $6.90 $5.28 $4.11 $4.03 $4.27 $4.76 $5.29 $5.39 $6.66 $8.25 $6.63 $5.80 $8.57 $4.06 $2.92 $2.71 $2.12 $1.62 $1.80 $1.29
Weighted Average Shares Outstanding 8.10M 8.23M 8.29M 8.34M 8.36M 8.66M 8.67M 8.68M 8.87M 8.90M 8.92M 9.15M 9.17M 9.19M 9.20M 9.21M 9.19M 9.18M 9.17M 9.16M
Weighted Average Shares Outstanding Diluted 8.19M 8.31M 8.37M 8.43M 8.43M 8.73M 8.76M 8.78M 8.94M 8.98M 8.99M 9.24M 9.27M 9.27M 9.28M 9.32M 9.30M 9.30M 9.26M 9.30M
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 March 30, 2024 April 01, 2023 April 02, 2022 April 03, 2021 March 28, 2020
Cash and Cash Equivalents $352.69M $271.43M $244.15M $322.28M $241.83M
Short Term Investments $18.27M $14.98M $20.09M $19.50M $14.58M
Cash and Short Term Investments $370.96M $286.40M $264.24M $341.77M $256.41M
Net Receivables $141.15M $150.42M $149.34M $104.32M $90.60M
Inventory $241.34M $263.15M $243.97M $131.23M $113.53M
Other Current Assets $98.35M $104.60M $86.58M $74.47M $55.64M
Total Current Assets $851.80M $804.58M $744.12M $651.80M $516.18M
Property Plant Equipment Net $263.23M $255.03M $180.97M $113.05M $91.08M
Goodwill $121.93M $114.55M $100.99M $75.09M $75.09M
Intangible Assets $28.22M $29.79M $28.46M $14.36M $15.11M
Goodwill and Intangible Assets $150.16M $144.34M $129.45M $89.45M $90.20M
Long Term Investments $17.32M $18.64M $34.93M $35.01M $31.56M
Tax Assets $4.58M $7.58M $5.53M $62.19M $81.07M
Other Non-Current Assets $67.09M $77.81M $59.97M $335.00K $335.00K
Total Non-Current Assets $502.36M $503.40M $410.86M $300.03M $294.25M
Other Assets $- $- $- $- $-
Total Assets $1.35B $1.31B $1.15B $951.83M $810.43M
Account Payables $33.53M $30.73M $43.08M $32.12M $29.92M
Short Term Debt $- $- $-24.92M $1.78M $2.33M
Tax Payables $- $- $- $- $1.91M
Deferred Revenue $- $45.19M $56.32M $41.84M $22.05M
Other Current Liabilities $239.74M $234.76M $225.39M $203.20M $117.33M
Total Current Liabilities $273.27M $293.39M $294.17M $237.10M $172.10M
Long Term Debt $35.15M $21.68M $23.99M $23.70M $23.37M
Deferred Revenue Non-Current $- $- $-17.19M $-17.73M $-20.00M
Deferred Tax Liabilities Non-Current $4.58M $7.58M $5.53M $7.39M $7.29M
Other Non-Current Liabilities $7.76M $7.82M $- $- $77.00K
Total Non-Current Liabilities $47.48M $37.08M $29.52M $31.09M $30.74M
Other Liabilities $- $- $- $- $-
Total Liabilities $320.75M $330.47M $323.69M $268.19M $202.84M
Preferred Stock $- $- $- $- $-
Common Stock $94.00K $93.00K $93.00K $92.00K $92.00K
Retained Earnings $1.03B $869.31M $628.76M $431.06M $355.14M
Accumulated Other Comprehensive Income Loss $-333.00K $-615.00K $-403.00K $97.00K $90.00K
Other Total Stockholders Equity $6.52M $107.50M $202.01M $252.39M $252.26M
Total Stockholders Equity $1.03B $976.29M $830.46M $683.64M $607.59M
Total Equity $1.03B $977.50M $831.28M $683.64M $607.59M
Total Liabilities and Stockholders Equity $1.35B $1.31B $1.15B $951.83M $810.43M
Minority Interest $- $1.22M $825.00K $- $-
Total Liabilities and Total Equity $1.35B $1.31B $1.15B $951.83M $810.43M
Total Investments $35.59M $33.62M $55.02M $54.51M $46.14M
Total Debt $35.15M $21.68M $24.78M $25.55M $25.70M
Net Debt $-317.54M $-249.75M $-219.37M $-296.73M $-216.13M


Balance Sheet Charts

Breakdown December 28, 2024 September 28, 2024 June 29, 2024 March 30, 2024 December 30, 2023 September 30, 2023 July 01, 2023 April 01, 2023 December 31, 2022 October 01, 2022 July 02, 2022 April 02, 2022 January 01, 2022 October 02, 2021 July 03, 2021 April 03, 2021 December 26, 2020 September 26, 2020 June 27, 2020 March 28, 2020
Cash and Cash Equivalents $362.86M $364.11M $378.35M $368.17M $366.02M $377.26M $352.23M $271.43M $376.15M $333.25M $238.07M $244.15M $267.26M $224.29M $329.75M $322.28M $327.49M $312.24M $270.55M $241.83M
Short Term Investments $16.06M $24.57M $20.67M $18.27M $16.82M $14.36M $14.17M $14.98M $16.61M $16.37M $15.86M $20.09M $21.12M $18.87M $19.75M $19.50M $16.97M $16.59M $16.37M $14.58M
Cash and Short Term Investments $378.93M $388.69M $399.02M $386.44M $382.84M $391.62M $366.41M $286.40M $392.75M $349.62M $253.94M $264.24M $288.38M $243.16M $349.50M $341.77M $344.45M $328.83M $286.92M $256.41M
Net Receivables $161.33M $164.98M $156.09M $141.15M $133.31M $149.60M $148.62M $150.42M $128.02M $147.68M $162.87M $149.34M $119.46M $130.11M $102.10M $104.32M $102.03M $90.84M $97.43M $90.60M
Inventory $243.30M $244.03M $244.84M $241.34M $236.65M $244.48M $253.99M $263.15M $215.46M $233.97M $254.72M $243.97M $200.31M $190.39M $150.92M $131.23M $110.62M $111.87M $106.40M $113.53M
Other Current Assets $94.43M $104.28M $96.68M $98.35M $93.46M $89.74M $89.68M $104.60M $96.32M $88.53M $76.50M $86.58M $95.40M $69.33M $65.35M $74.47M $68.61M $65.88M $57.24M $55.64M
Total Current Assets $877.99M $901.97M $877.57M $851.80M $833.05M $875.44M $858.69M $804.58M $832.55M $819.79M $748.02M $744.12M $703.55M $633.00M $667.86M $651.80M $625.72M $597.42M $547.99M $516.18M
Property Plant Equipment Net $261.37M $261.50M $262.46M $263.23M $261.61M $258.08M $249.82M $255.03M $211.56M $206.18M $202.52M $180.97M $173.96M $173.10M $114.13M $113.05M $95.15M $95.31M $95.70M $91.08M
Goodwill $121.97M $121.97M $121.97M $121.93M $120.74M $116.02M $115.50M $114.55M $100.58M $100.58M $100.99M $100.99M $101.94M $106.49M $75.09M $75.09M $75.09M $75.09M $75.09M $75.09M
Intangible Assets $27.07M $27.45M $27.83M $28.22M $149.36M $29.00M $29.40M $29.79M $26.95M $27.45M $27.95M $28.46M $28.98M $35.40M $14.19M $14.36M $14.55M $14.74M $14.92M $15.11M
Goodwill and Intangible Assets $149.04M $149.41M $149.80M $150.16M $270.10M $145.02M $144.90M $144.34M $127.53M $128.03M $128.94M $129.45M $130.93M $141.89M $89.28M $89.45M $89.64M $89.83M $90.01M $90.20M
Long Term Investments $18.29M $12.85M $90.85M $88.98M $82.58M $20.51M $17.97M $18.64M $21.82M $38.32M $36.81M $34.93M $35.38M $35.65M $38.19M $35.01M $35.48M $30.28M $30.51M $31.56M
Tax Assets $- $4.73M $4.60M $-71.66M $5.79M $69.16M $5.70M $7.58M $8.66M $6.05M $3.06M $5.53M $8.54M $9.37M $6.61M $62.19M $6.81M $7.07M $7.49M $7.29M
Other Non-Current Assets $79.08M $67.75M $-4.60M $71.66M $-126.53M $585.00K $75.97M $77.81M $62.35M $66.30M $64.44M $59.97M $59.87M $63.42M $54.80M $335.00K $53.76M $62.60M $66.55M $74.11M
Total Non-Current Assets $507.78M $496.24M $503.11M $502.36M $493.55M $493.35M $494.36M $503.40M $431.92M $444.88M $435.77M $410.86M $408.68M $423.44M $303.01M $300.03M $280.85M $285.09M $290.26M $294.25M
Other Assets $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Total Assets $1.39B $1.40B $1.38B $1.35B $1.33B $1.37B $1.35B $1.31B $1.26B $1.26B $1.18B $1.15B $1.11B $1.06B $970.87M $951.83M $906.57M $882.51M $838.26M $810.43M
Account Payables $26.09M $39.25M $31.43M $33.53M $23.93M $41.09M $28.63M $30.73M $26.79M $42.66M $44.90M $43.08M $33.76M $42.55M $30.18M $32.12M $25.18M $29.67M $34.66M $29.92M
Short Term Debt $- $- $- $- $- $- $- $- $- $- $- $-24.92M $2.99M $2.26M $-8.21M $1.78M $2.72M $1.16M $20.00K $2.33M
Tax Payables $- $- $- $42.94M $- $- $- $- $- $- $- $- $- $- $- $- $2.21M $3.25M $2.38M $1.91M
Deferred Revenue $- $35.49M $35.91M $33.45M $30.19M $43.48M $46.12M $45.19M $46.40M $48.26M $54.16M $56.32M $55.41M $49.22M $48.99M $41.84M $34.37M $30.15M $22.09M $22.05M
Other Current Liabilities $259.13M $236.74M $264.57M $196.80M $217.05M $264.38M $264.74M $234.76M $251.63M $263.40M $259.78M $225.39M $214.65M $212.96M $186.06M $203.20M $160.65M $149.31M $116.21M $117.33M
Total Current Liabilities $285.22M $311.48M $296.00M $273.27M $271.17M $305.48M $293.38M $293.39M $278.42M $306.05M $304.68M $294.17M $272.76M $282.27M $242.19M $237.10M $213.34M $208.22M $179.06M $172.10M
Long Term Debt $31.47M $32.48M $33.87M $35.15M $34.83M $30.53M $22.11M $21.68M $13.06M $12.29M $13.13M $23.99M $23.51M $30.55M $23.01M $23.70M $24.43M $26.27M $27.43M $23.37M
Deferred Revenue Non-Current $- $- $27.76M $-7.76M $31.74M $- $- $- $- $- $- $-5.53M $-1.20M $-1.13M $-16.53M $-17.73M $-17.66M $-19.00M $-15.40M $-18.04M
Deferred Tax Liabilities Non-Current $4.64M $4.73M $4.60M $4.58M $5.79M $5.74M $5.70M $7.58M $8.66M $6.05M $3.06M $5.53M $8.54M $9.37M $6.61M $7.39M $6.81M $7.07M $7.49M $7.29M
Other Non-Current Liabilities $7.21M $7.53M $7.67M $7.76M $6.11M $7.79M $7.91M $7.82M $7.90M $10.42M $10.70M $- $- $- $- $- $248.00K $261.00K $275.00K $77.00K
Total Non-Current Liabilities $43.32M $44.75M $46.14M $47.48M $46.72M $44.06M $35.73M $37.08M $29.62M $28.76M $26.89M $29.52M $32.05M $39.92M $29.62M $31.09M $31.48M $33.60M $35.19M $30.74M
Other Liabilities $- $- $- $- $1 $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Total Liabilities $328.54M $356.23M $342.14M $320.75M $317.90M $349.54M $329.10M $330.47M $308.04M $334.81M $331.56M $323.69M $304.81M $322.19M $271.81M $268.19M $244.82M $241.82M $214.25M $202.84M
Preferred Stock $- $- $- $- $1 $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Common Stock $94.00K $94.00K $94.00K $94.00K $94.00K $94.00K $93.00K $93.00K $93.00K $93.00K $93.00K $93.00K $93.00K $93.00K $92.00K $92.00K $92.00K $92.00K $92.00K $92.00K
Retained Earnings $1.16B $1.11B $1.06B $1.03B $993.19M $957.21M $915.67M $869.31M $822.00M $762.47M $688.36M $628.76M $575.13M $495.71M $458.10M $431.06M $405.83M $386.13M $371.08M $355.14M
Accumulated Other Comprehensive Income Loss $-147.00K $-77.00K $-275.00K $-333.00K $15.87M $-603.00K $-657.00K $-615.00K $-744.00K $-818.00K $-515.00K $-403.00K $-42.00K $71.00K $84.00K $97.00K $150.00K $165.00K $158.00K $90.00K
Other Total Stockholders Equity $-104.56M $-63.41M $-22.84M $6.52M $15.78M $62.56M $107.72M $107.50M $134.15M $167.18M $163.63M $202.01M $231.03M $237.24M $240.79M $252.39M $255.66M $254.30M $252.67M $252.26M
Total Stockholders Equity $1.06B $1.04B $1.04B $1.03B $1.01B $1.02B $1.02B $976.29M $955.50M $928.93M $851.56M $830.46M $806.21M $733.12M $699.07M $683.64M $661.74M $640.69M $624.01M $607.59M
Total Equity $1.06B $1.04B $1.04B $1.03B $1.01B $1.02B $1.02B $977.50M $956.43M $929.86M $852.24M $831.28M $807.42M $734.24M $699.07M $683.64M $661.74M $640.69M $624.01M $607.59M
Total Liabilities and Stockholders Equity $1.39B $1.40B $1.38B $1.35B $1.33B $1.37B $1.35B $1.31B $1.26B $1.26B $1.18B $1.15B $1.11B $1.06B $970.87M $951.83M $906.57M $882.51M $838.26M $810.43M
Minority Interest $- $- $- $- $- $- $1.12M $1.22M $932.00K $926.00K $677.00K $825.00K $1.20M $1.13M $- $- $- $- $- $-
Total Liabilities and Total Equity $1.39B $1.40B $1.38B $1.35B $1.33B $1.37B $1.35B $1.31B $1.26B $1.26B $1.18B $1.15B $1.11B $1.06B $970.87M $951.83M $906.57M $882.51M $838.26M $810.43M
Total Investments $34.35M $37.42M $111.52M $107.25M $99.40M $34.87M $32.14M $33.62M $38.43M $54.69M $52.68M $55.02M $56.49M $54.52M $57.94M $54.51M $52.45M $46.87M $46.88M $46.14M
Total Debt $31.47M $32.48M $47.42M $48.29M $46.32M $30.53M $22.11M $21.68M $13.06M $12.29M $13.13M $24.78M $24.31M $32.80M $24.83M $25.55M $26.81M $28.65M $29.91M $25.70M
Net Debt $-331.39M $-331.63M $-330.94M $-319.88M $-319.70M $-346.74M $-330.12M $-249.75M $-363.09M $-320.96M $-224.94M $-219.37M $-242.96M $-191.49M $-304.92M $-296.73M $-300.67M $-283.59M $-240.64M $-216.13M

Annual Cash Flow

Breakdown March 30, 2024 April 01, 2023 April 02, 2022 April 03, 2021 March 28, 2020
Net Income $157.82M $240.84M $197.74M $76.65M $75.07M
Depreciation and Amortization $18.52M $16.90M $11.02M $6.32M $5.78M
Deferred Income Tax $-3.08M $2.11M $-1.73M $326.00K $261.00K
Stock Based Compensation $6.76M $6.26M $5.06M $4.39M $3.88M
Change in Working Capital $- $-18.19M $-84.74M $33.14M $18.02M
Accounts Receivables $11.57M $10.24M $-27.27M $-4.60M $-1.44M
Inventory $44.86M $38.87M $-73.80M $-17.70M $8.25M
Accounts Payables $-22.26M $-13.40M $38.23M $47.23M $6.44M
Other Working Capital $- $-35.70M $-21.89M $8.21M $4.77M
Other Non Cash Items $44.66M $7.76M $16.88M $-6.79M $-1.27M
Net Cash Provided by Operating Activities $224.68M $255.69M $144.22M $114.03M $101.74M
Investments in Property Plant and Equipment $-17.42M $-44.11M $-18.65M $-25.54M $-14.34M
Acquisitions Net $-14.39M $-93.45M $-141.43M $240.00K $-15.94M
Purchases of Investments $-13.03M $-12.53M $-12.80M $-17.52M $-11.70M
Sales Maturities of Investments $13.13M $18.93M $12.45M $19.47M $10.19M
Other Investing Activities $- $1.82M $1.33M $2.19M $6.54M
Net Cash Used for Investing Activities $-31.71M $-129.34M $-159.10M $-23.35M $-25.24M
Debt Repayment $-488.00K $-641.00K $-9.28M $-2.72M $-19.69M
Common Stock Issued $- $- $- $- $-
Common Stock Repurchased $-109.31M $-103.41M $-59.60M $-1.44M $-
Dividends Paid $- $- $- $- $-
Other Financing Activities $2.09M $1.86M $3.78M $-2.82M $-1.07M
Net Cash Used Provided by Financing Activities $-107.71M $-102.20M $-65.09M $-6.98M $-20.76M
Effect of Forex Changes on Cash $- $- $- $- $-
Net Change in Cash $85.26M $24.16M $-79.97M $83.70M $55.74M
Cash at End of Period $368.75M $283.49M $259.33M $339.31M $255.61M
Cash at Beginning of Period $283.49M $259.33M $339.31M $255.61M $199.87M
Operating Cash Flow $224.68M $255.69M $144.22M $114.03M $101.74M
Capital Expenditure $-17.42M $-44.11M $-18.65M $-25.54M $-14.34M
Free Cash Flow $207.26M $211.59M $125.57M $88.49M $87.40M

Cash Flow Charts

Breakdown December 28, 2024 September 28, 2024 June 29, 2024 March 30, 2024 December 30, 2023 September 30, 2023 July 01, 2023 April 01, 2023 December 31, 2022 October 01, 2022 July 02, 2022 April 02, 2022 January 01, 2022 October 02, 2021 July 03, 2021 April 03, 2021 December 26, 2020 September 26, 2020 June 27, 2020 March 28, 2020
Net Income $56.46M $43.81M $34.43M $33.93M $35.99M $41.57M $46.41M $47.36M $59.59M $74.20M $59.69M $53.40M $79.61M $37.68M $27.05M $25.22M $19.70M $15.05M $16.67M $12.00M
Depreciation and Amortization $4.78M $4.76M $4.76M $4.67M $-4.62M $4.67M $4.57M $4.73M $3.89M $4.34M $3.95M $4.27M $3.56M $1.61M $1.58M $1.59M $1.55M $1.57M $1.61M $1.57M
Deferred Income Tax $-71.00K $81.00K $7.00K $-1.22M $-16.00K $23.00K $-1.87M $-1.11M $2.60M $3.07M $-2.44M $-2.92M $-801.00K $2.77M $-783.00K $598.00K $-254.00K $-424.00K $406.00K $-1.15M
Stock Based Compensation $1.75M $2.71M $2.19M $2.06M $1.71M $1.55M $1.44M $1.41M $1.33M $2.10M $1.43M $1.60M $1.04M $1.32M $1.10M $1.46M $887.00K $1.10M $945.00K $1.61M
Change in Working Capital $- $-6.36M $6.36M $-16.94M $4.87M $-6.54M $2.34M $-20.44M $-9.89M $18.41M $-6.27M $-46.55M $-36.33M $7.41M $-9.27M $-9.16M $-1.90M $15.55M $28.64M $7.74M
Accounts Receivables $2.50M $1.44M $-18.70M $-19.88M $-1.75M $-3.55M $3.69M $-5.75M $16.55M $11.51M $-12.08M $-31.63M $7.50M $523.00K $-3.66M $-6.46M $-4.08M $1.32M $4.63M $-3.64M
Inventory $726.00K $819.00K $-3.50M $-6.33M $31.50M $10.57M $9.11M $10.35M $18.51M $20.76M $-10.75M $-43.91M $-9.92M $-297.00K $-19.68M $-20.61M $1.25M $-5.48M $7.14M $-3.32M
Accounts Payables $-27.00M $13.22M $22.92M $1.44M $-33.61M $6.80M $3.11M $2.67M $-31.25M $2.19M $12.99M $25.21M $13.01M $-343.54M $11.51M $47.23M $-411.44M $-369.50M $7.19M $-329.39M
Other Working Capital $3.98M $-21.85M $5.65M $7.82M $8.72M $-20.37M $-15.91M $-27.71M $-13.69M $-16.05M $3.56M $3.77M $-46.92M $350.73M $2.56M $-29.31M $412.38M $389.20M $9.68M $344.08M
Other Non Cash Items $-25.14M $9.68M $10.64M $32.24M $7.97M $36.64M $29.41M $-6.37M $9.66M $2.58M $1.89M $8.46M $-1.21M $5.01M $4.61M $2.76M $-3.03M $6.07M $-12.59M $11.63M
Net Cash Provided by Operating Activities $37.78M $54.68M $47.39M $18.58M $45.90M $77.91M $82.29M $25.57M $67.18M $104.70M $58.24M $18.26M $45.88M $55.81M $24.27M $22.46M $16.96M $38.92M $35.69M $33.42M
Investments in Property Plant and Equipment $-5.43M $-4.88M $-4.97M $-4.18M $-4.77M $-4.29M $-4.18M $-3.26M $-7.66M $-8.18M $-25.01M $-9.71M $-4.27M $-2.08M $-2.59M $-19.72M $-2.04M $-1.92M $-1.86M $-7.85M
Acquisitions Net $- $- $10.00K $798.00K $-18.38M $2.98M $-3.17M $-105.66M $12.21M $119.00K $283.00K $-1.00K $9.88M $-151.29M $38.00K $- $- $- $- $-
Purchases of Investments $-9.15M $-7.89M $-4.55M $-5.62M $-909.00K $-4.79M $-1.71M $-2.33M $-456.00K $-5.51M $-4.23M $-4.58M $-1.97M $-1.82M $-4.43M $-3.46M $-9.62M $-3.28M $-1.16M $-7.05M
Sales Maturities of Investments $9.67M $6.97M $4.16M $3.84M $3.93M $1.81M $3.54M $9.70M $1.64M $3.04M $4.55M $2.99M $3.32M $2.77M $3.37M $4.81M $6.60M $4.94M $3.12M $2.07M
Other Investing Activities $1.97M $117.00K $-374.00K $-1.49M $3.05M $-4.22M $7.60M $1.41M $4.00K $-2.35M $608.00K $38.00K $1.24M $-151.29M $38.00K $122.00K $41.00K $72.00K $5.00K $6.47M
Net Cash Used for Investing Activities $-2.95M $-5.68M $-5.35M $-5.17M $-20.12M $-8.51M $2.09M $-100.14M $5.73M $-10.53M $-24.40M $-11.26M $8.20M $-152.43M $-3.62M $-18.25M $-5.02M $-187.00K $105.00K $-6.37M
Debt Repayment $-84.00K $-126.00K $-51.00K $-46.00K $-147.00K $-138.00K $-157.00K $-92.00K $-156.00K $-228.00K $-165.00K $-111.00K $-8.04M $-678.00K $-444.00K $-804.00K $-1.07M $-465.00K $-389.00K $-405.00K
Common Stock Issued $- $1.79M $- $- $- $- $- $- $- $1.59M $- $- $- $- $- $- $- $- $- $-
Common Stock Repurchased $-42.17M $-42.81M $-29.46M $-12.53M $-55.87M $-40.91M $-1.36M $-30.18M $-34.27M $-134.00K $-38.96M $-30.47M $-8.69M $-7.59M $-12.84M $-1.44M $- $- $- $-226.00K
Dividends Paid $- $- $- $- $- $- $- $- $- $- $- $-2.82M $- $- $- $- $- $- $- $-
Other Financing Activities $-167.00K $-572.00K $-2.35M $1.31M $4.00M $299.00K $-1.33M $1.94M $-210.00K $1.22M $-1.09M $-221.00K $1.32M $2.55M $136.00K $-2.82M $480.00K $522.00K $-533.00K $-1.07M
Net Cash Used Provided by Financing Activities $-42.42M $-41.72M $-31.86M $-11.27M $-54.20M $-40.75M $-1.49M $-28.34M $-34.64M $989.00K $-40.21M $-30.80M $-15.42M $-5.72M $-13.15M $-5.53M $-586.00K $57.00K $-922.00K $-1.70M
Effect of Forex Changes on Cash $- $- $- $-37.81M $37.81M $- $- $- $- $- $- $-94.83M $94.83M $- $- $- $- $- $- $-
Net Change in Cash $-7.59M $7.87M $10.18M $2.15M $-385.64M $28.65M $82.89M $-102.90M $38.27M $95.16M $-6.37M $-23.81M $38.67M $-102.34M $7.51M $-1.32M $11.36M $38.79M $34.88M $25.35M
Cash at End of Period $378.63M $386.22M $378.35M $368.17M $9.39M $395.03M $366.38M $283.49M $386.39M $348.12M $252.96M $259.33M $283.14M $244.48M $346.82M $339.31M $340.62M $329.27M $290.48M $255.61M
Cash at Beginning of Period $386.22M $378.35M $368.17M $366.02M $395.03M $366.38M $283.49M $386.39M $348.12M $252.96M $259.33M $283.14M $244.48M $346.82M $339.31M $340.62M $329.27M $290.48M $255.61M $230.26M
Operating Cash Flow $37.78M $54.68M $47.39M $18.58M $45.90M $77.91M $82.29M $25.57M $67.18M $104.70M $58.24M $18.26M $45.88M $55.81M $24.27M $22.46M $16.96M $38.92M $35.69M $33.42M
Capital Expenditure $-5.43M $-4.88M $-4.97M $-4.18M $-4.77M $-4.29M $-4.18M $-3.26M $-7.66M $-8.18M $-25.01M $-9.71M $-4.27M $-2.08M $-2.59M $-19.72M $-2.04M $-1.92M $-1.86M $-7.85M
Free Cash Flow $32.34M $49.80M $42.42M $14.39M $41.14M $73.62M $78.11M $22.32M $59.52M $96.52M $33.23M $8.54M $41.61M $53.73M $21.68M $2.74M $14.91M $37.00M $33.84M $25.56M

Cavco Industries Dividends

Explore Cavco Industries's dividend history, including dividend yield, payout ratio, and historical payments.

Cavco Industries does not currently pay a dividend.

Cavco Industries News

Read the latest news about Cavco Industries, including recent articles, headlines, and updates.

General need for housing is driving our stock higher, says Cavco Industries CEO

William Boor, Cavco Industries CEO, joins 'The Exchange' to discuss what's driving the company's stock higher, the company's average selling price, and much more.

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Cavco Unifies Under a Strong Brand Strategy

Strategic brand alignment strengthens Cavco's position in the affordable housing market and simplifies the homebuying journey Strategic brand alignment strengthens Cavco's position in the affordable housing market and simplifies the homebuying journey

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3 Reasons Growth Investors Will Love Cavco (CVCO)

Cavco (CVCO) possesses solid growth attributes, which could help it handily outperform the market.

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Best Momentum Stock to Buy for February 5th

CVCO, SHBI and FLXS made it to the Zacks Rank #1 (Strong Buy) momentum stocks list on February 5, 2025.

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After Cavco Industries' Earnings Pop, I'm Waiting For A Better Entry

Cavco Industries, Inc. excels in factory-built homes, with strong stock performance and a robust balance sheet, but faces valuation concerns. The company's growth is driven by rising demand for affordable housing, though declining revenue per home and inflationary pressures pose risks. Financial services show improvement, but gains are fragile due to weather-related insurance claims and increased customer charges.

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Cavco Industries, Inc. (CVCO) Q3 2025 Earnings Call Transcript

Cavco Industries, Inc. (CVCO) Q3 2025 Earnings Call Transcript

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Cavco (CVCO) Q3 Earnings and Revenues Surpass Estimates

Cavco (CVCO) came out with quarterly earnings of $6.90 per share, beating the Zacks Consensus Estimate of $4.12 per share. This compares to earnings of $4.27 per share a year ago.

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Cavco Industries Reports Fiscal 2025 Third Quarter Results

PHOENIX, Jan. 30, 2025 (GLOBE NEWSWIRE) -- Cavco Industries, Inc. (Nasdaq: CVCO) ("we," "our," the "Company" or "Cavco") today announced financial results for the third fiscal quarter ended December 28, 2024. Quarterly Highlights Net revenue was $522 million , up $75 million or 16.8% compared to $447 million in the third quarter of the prior year, primarily on home sales volume growth.

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Webcast Alert: Cavco Industries, Inc. Announces Fiscal 2025 Third Quarter Earnings Release and Conference Call Webcast

PHOENIX, Jan. 23, 2025 (GLOBE NEWSWIRE) -- Cavco Industries, Inc. (Nasdaq: CVCO) will release earnings for the third quarter ended December 28, 2024, on Thursday, January 30, 2025, after the close of market. Senior management will discuss the results in a live webcast the following day, Friday, January 31, 2025, at 1:00 p.m. Eastern Time.

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Is Cavco Industries (CVCO) Stock Outpacing Its Construction Peers This Year?

Here is how Cavco (CVCO) and Frontdoor (FTDR) have performed compared to their sector so far this year.

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Cavco (CVCO) is on the Move, Here's Why the Trend Could be Sustainable

Cavco (CVCO) could be a great choice for investors looking to make a profit from fundamentally strong stocks that are currently on the move. It is one of the several stocks that made it through our "Recent Price Strength" screen.

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Cavco Industries, Inc. (CVCO) Q2 2025 Earnings Call Transcript

Cavco Industries, Inc. (NASDAQ:CVCO ) Q3 2024 Earnings Call Transcript November 1, 2024 1:00 PM ET Company Participants Mark Fusler - Corporate Controller and IR Bill Boor - President and CEO Allison Aden - EVP and CFO Paul Bigbee - CAO Conference Call Participants Daniel Moore - Daniel Moore Greg Palm - Craig-Hallum Capital Group Jay McCanless - Wedbush Daniel Moore - CJS Securities Operator Good day, and thank you for standing by. Welcome to the Second Quarter Fiscal Year 2025 Cavco Industries, Inc. Earnings Call Webcast.

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Cavco (CVCO) Q2 Earnings and Revenues Top Estimates

Cavco (CVCO) came out with quarterly earnings of $5.28 per share, beating the Zacks Consensus Estimate of $4.70 per share. This compares to earnings of $4.76 per share a year ago.

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Cavco Industries Reports Fiscal 2025 Second Quarter Results and Announces New $100 Million Stock Repurchase Program

PHOENIX, Oct. 31, 2024 (GLOBE NEWSWIRE) -- Cavco Industries, Inc. (Nasdaq: CVCO) ("we," "our," the "Company" or "Cavco") today announced financial results for the second fiscal quarter ended September 28, 2024. Quarterly Highlights Net revenue was $507 million , up $55 million or 12.3% compared to $452 million in the second quarter of the prior year, primarily on home sales volume growth.

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Webcast Alert: Cavco Industries, Inc. Announces Fiscal 2025 Second Quarter Earnings Release and Conference Call Webcast

PHOENIX, Oct. 23, 2024 (GLOBE NEWSWIRE) -- Cavco Industries, Inc. (Nasdaq: CVCO) will release earnings for the second quarter ended September 28, 2024 on Thursday, October 31, 2024 after the close of market. Senior management will discuss the results in a live webcast the following day, Friday, November 1, 2024 at 1:00 p.m. Eastern Time.

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Cavco Industries Releases 2024 Enviornmental, Social and Governance

Cavco Industries unveils its 2024 Environmental, Social and Governance Report, emphasizing its dedication to affordable housing solutions, environmental sustainability and transparent governance practices. Cavco Industries unveils its 2024 Environmental, Social and Governance Report, emphasizing its dedication to affordable housing solutions, environmental sustainability and transparent governance practices.

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Cavco's Future Looks Bright as Affordable Housing Demand Soars

After dropping to their lowest level in two years following the Federal Reserve's September rate cut announcement, 30-year fixed-rate mortgages have climbed higher once again. Nonetheless, the environment is looking more favorable for homebuilding companies, as buyers are incentivized to make offers, and companies are better able to access loans to fund development projects and growth.

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Cavco Industries Isn't AI

AI is widely assumed to be big, but AH (Affordable Housing) is a more critical need and is becoming a vital growth investment theme in its own right. That's why shares of Cavco, in particular, and homebuilders, in general, have been performing better than interest rate trends alone might lead one to expect. Investors are looking beyond today's soft company earnings toward gains many expect as society tackles affordability obstacles.

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HUD's Latest Code Changes Signal a New Era for Multi-Unit Affordable Housing

New HUD Codes approve multi-dwelling unit manufactured homes for nationwide construction New HUD Codes approve multi-dwelling unit manufactured homes for nationwide construction

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Cingulate stock surges 115% after European patent approval for ADHD treatment: Is it a buy?

Cingulate Inc (NASDAQ: CING), a biopharmaceutical firm specializing in innovative ADHD treatments, experienced a remarkable surge in its stock price on Friday, with shares skyrocketing by 115%. This dramatic increase is attributed to the company's recent achievement of securing a European patent for CTx-1301, its flagship ADHD treatment.

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Cavco Industries, Inc. (CVCO) Q1 2025 Earnings Call Transcript

Cavco Industries, Inc. (NASDAQ:CVCO ) Q1 2025 Earnings Conference Call August 2, 2024 1:00 PM ET Company Participants Mark Fusler – Corporate Controller and Investor Relations Bill Boor – President and Chief Executive Officer Allison Aden – Executive Vice President and Chief Financial Officer Paul Bigbee – Chief Accounting Officer Conference Call Participants Daniel Moore – CJS Securities Greg Palm – Craig-Hallum Jay McCanless – Wedbush Operator Good day and thank you for standing by. Welcome to the First Quarter Fiscal Year 2025 Cavco Industries, Inc. Earnings Call Webcast.

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Cavco (CVCO) Q1 Earnings and Revenues Miss Estimates

Cavco (CVCO) came out with quarterly earnings of $4.11 per share, missing the Zacks Consensus Estimate of $4.97 per share. This compares to earnings of $5.29 per share a year ago.

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Cavco Industries Reports Fiscal 2025 First Quarter Results

Improving Factory-built housing Results; High Claims in Insurance Operation Improving Factory-built housing Results; High Claims in Insurance Operation

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Cavco Industries Remains A 'Buy' Due To Favorable Residential Market Dynamics And Consumer Behavior

There are many strong short-term tailwinds Cavco benefits from, including the residential market dynamics and consumers trading down. As the affordable alternative to traditional homebuilders, demand should pick up from struggling consumers. Declining rates will be a huge catalyst for this. Despite Q4 earnings missing expectations, the underlying business is strong, with orders improving sequentially for the sixth straight quarter.

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Webcast Alert: Cavco Industries, Inc. Announces Fiscal 2025 First Quarter Earnings Release and Conference Call Webcast

PHOENIX, July 26, 2024 (GLOBE NEWSWIRE) -- Cavco Industries, Inc. (Nasdaq: CVCO) will release earnings for the first quarter ended June 29, 2024 on Thursday, August 1, 2024 after the close of market. Senior management will discuss the results in a live webcast the following day, Friday, August 2, 2024 at 1:00 p.m. Eastern Time.

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Cavco Industries, Inc. (CVCO) Q4 2024 Earnings Call Transcript

Cavco Industries, Inc. (NASDAQ:CVCO ) Q4 2024 Earnings Conference Call May 24, 2024 1:00 PM ET Company Participants Mark Fusler - Corporate Controller and Investor Relations Bill Boor - President and Chief Executive Officer Allison Aden - Executive Vice President and Chief Financial Officer Paul Bigbee - Chief Accounting Officer Conference Call Participants Greg Palm - Craig-Hallum Jay McCanless - Wedbush Securities Daniel Moore - CJS Securities Michael Chapman - Aviance Capital Partners Operator Good day and thank you for standing by. Welcome to the Fourth Quarter Fiscal Year 2024 Cavco Industries Earnings Call.

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Cavco (CVCO) Q4 Earnings and Revenues Miss Estimates

Cavco (CVCO) came out with quarterly earnings of $4.03 per share, missing the Zacks Consensus Estimate of $5.13 per share. This compares to earnings of $5.39 per share a year ago.

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Cavco Industries Reports Fiscal 2024 Fourth Quarter and Year End Results

PHOENIX, May 23, 2024 (GLOBE NEWSWIRE) -- Cavco Industries, Inc. (Nasdaq: CVCO) today announced financial results for the fourth quarter and fiscal year ended March 30, 2024. Quarterly Highlights Net revenue and Net income of $420 million and $34 million , respectively.

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Webcast Alert: Cavco Industries, Inc. Announces Fiscal 2024 Fourth Quarter and Year End Earnings Release and Conference Call Webcast

PHOENIX, May 15, 2024 (GLOBE NEWSWIRE) -- Cavco Industries, Inc. (Nasdaq: CVCO) will release earnings for the fourth quarter and fiscal year ended March 30, 2024 on Thursday, May 23, 2024 after the close of market. Senior management will discuss the results in a live webcast the following day, Friday, May 24, 2024 at 1:00 p.m. Eastern Time.

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