Steel Partners Holdings L.P Key Executives

This section highlights Steel Partners Holdings L.P's key executives, including their titles and compensation details.

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Steel Partners Holdings L.P Earnings

This section highlights Steel Partners Holdings L.P's earnings, including key dates, EPS, earnings reports, and earnings call transcripts.

Next Earnings Date

Date: May 06, 2025
Time: --
Est. EPS: $-
Status: Unconfirmed

Last Earnings Results

Date: March 11, 2025
EPS: $3.40
Est. EPS: $-
Revenue: $497.92M

Earnings Call Transcripts

Transcript Quarter Year Date Estimated EPS Actual EPS

Steel Partners Holdings L.P. (SPLP)

Steel Partners Holdings L.P., through its subsidiaries, engages in industrial products, energy, defense, supply chain management, logistics, banking, and youth sports businesses worldwide. It operates through Diversified Industrial, Energy, and Financial Services segments. The company fabricates precious metals and alloys into brazing alloys; manufactures and sells seamless stainless steel tubing coils; fasteners, adhesives, and fastening systems for the commercial low slope roofing industry, as well as specialty fasteners for the building products industry; and woven substrates of fiberglass, quartz, carbon, and aramid materials for specialty applications. It also designs, manufactures, and markets power electronics and protection, motion control, power quality electromagnetic equipment, custom ball-screws, and gears and gearboxes used in medical, commercial and military aerospace, computer, datacom, industrial, specialty LED lighting, test and measurement, and telecom applications. In addition, the company provides meat-room blade products, repair services, and distributed products for the meat and deli departments of supermarkets, restaurants, and meat and fish processing plants, as well as for electrical saws and cutting equipment distributors; cutting blades for bakeries; and wood cutting blade products for the pallet manufacturing, pallet recycler, and portable saw mill industries. Further, it manufactures and distributes coated, laminated and metallized films for imaging, aerospace, insulation and solar photo-voltaic markets; originates and funds consumer and small business loans; issues credit cards; takes deposits; participates in syndicated commercial and industrial, and asset based credit facilities and securitizations; and offers drilling and production services to the oil and gas industry. Steel Partners Holdings GP Inc. serves as the general partner of the company. The company was founded in 1990 and is based in New York, New York.

Industrials Conglomerates

$38.21

Stock Price

$731.74M

Market Cap

5.20K

Employees

New York, NY

Location

Financial Statements

Access annual & quarterly financial statements for Steel Partners Holdings L.P, including income statements, balance sheets, and cash flow statements..

Annual Income Statement

Breakdown December 31, 2024 December 31, 2023 December 31, 2022 December 31, 2021 December 31, 2020
Revenue $2.03B $1.91B $1.70B $1.52B $1.31B
Cost of Revenue $1.15B $1.24B $1.11B $1.01B $871.60M
Gross Profit $875.49M $670.18M $581.60M $513.11M $439.04M
Gross Profit Ratio 43.17% 35.17% 34.30% 33.65% 33.50%
Research and Development Expenses $- $- $- $- $-
General and Administrative Expenses $- $- $- $- $-
Selling and Marketing Expenses $- $- $- $- $-
Selling General and Administrative Expenses $547.12M $504.96M $383.38M $304.01M $290.78M
Other Expenses $328.37M $- $23.18M $123.00K $21.95M
Operating Expenses $875.49M $504.96M $406.55M $304.14M $312.73M
Cost and Expenses $2.03B $1.74B $1.52B $1.32B $1.18B
Interest Income $- $- $20.65M $2.51M $29.51M
Interest Expense $97.02M $18.40M $20.65M $22.25M $29.51M
Depreciation and Amortization $59.31M $56.56M $53.76M $70.76M $74.34M
EBITDA $379.91M $221.79M $232.59M $307.68M $130.98M
EBITDA Ratio 18.73% 11.64% 13.72% 20.18% 9.99%
Operating Income $- $165.22M $178.84M $247.16M $65.64M
Operating Income Ratio 0.00% 8.67% 10.55% 16.21% 5.01%
Total Other Income Expenses Net $223.58M $-4.02M $105.75M $68.42M $4.75M
Income Before Tax $223.58M $161.21M $275.50M $200.87M $125.40M
Income Before Tax Ratio 11.03% 8.46% 16.25% 13.17% 9.57%
Income Tax Expense $-53.26M $-1.67M $73.94M $84.09M $38.14M
Net Income $11.38K $150.83M $205.97M $131.41M $72.67M
Net Income Ratio 0.00% 7.92% 12.15% 8.62% 5.55%
EPS $13.07 $7.61 $9.03 $6.09 $3.23
EPS Diluted $11.38 $6.43 $8.12 $4.54 $1.56
Weighted Average Shares Outstanding 20.01M 21.43M 22.81M 21.56M 24.81M
Weighted Average Shares Outstanding Diluted 24.05M 25.36M 26.87M 28.92M 51.39M
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 $497.92M $520.42M $531.86M $475.06M $465.96M $492.25M $500.93M $445.37M $422.62M $425.67M $441.41M $405.75M $431.86M $392.11M $386.43M $314.49M $338.72M $330.01M $295.44M $347.90M
Cost of Revenue $279.43M $295.58M $326.28M $298.12M $294.98M $283.29M $289.40M $261.29M $275.60M $278.43M $288.81M $269.33M $291.99M $254.61M $253.22M $208.69M $222.16M $216.32M $198.67M $224.51M
Gross Profit $218.49M $224.85M $205.58M $176.94M $170.98M $208.97M $211.53M $184.08M $147.02M $147.25M $152.59M $136.41M $139.87M $137.50M $133.21M $105.81M $116.56M $113.69M $96.76M $123.39M
Gross Profit Ratio 43.88% 43.20% 38.65% 37.25% 36.69% 42.45% 42.23% 41.33% 34.79% 34.59% 34.57% 33.62% 32.39% 35.07% 34.47% 33.64% 34.41% 34.45% 32.75% 35.47%
Research and Development Expenses $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
General and Administrative Expenses $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $151.60M $- $74.94M $76.66M
Selling and Marketing Expenses $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-76.28M $- $- $-
Selling General and Administrative Expenses $134.82M $137.31M $142.02M $136.05M $132.55M $124.93M $136.36M $114.95M $102.78M $93.63M $100.84M $86.12M $80.22M $80.41M $74.59M $68.80M $75.32M $67.42M $74.94M $76.66M
Other Expenses $83.67M $87.54M $1.80M $815.00K $2.31M $801.00K $3.83M $69.12M $11.42M $6.59M $1.24M $1.28M $1.20M $1.09M $854.00K $35.04M $123.00K $1.58M $2.00M $967.00K
Operating Expenses $218.49M $224.85M $142.02M $136.05M $132.55M $161.90M $139.57M $184.08M $114.20M $100.23M $104.72M $87.41M $82.19M $80.84M $73.02M $68.08M $66.56M $57.73M $89.19M $102.80M
Cost and Expenses $497.92M $520.42M $468.30M $434.17M $427.53M $445.19M $428.97M $445.37M $389.79M $378.65M $393.54M $356.74M $374.18M $335.45M $326.25M $276.77M $288.72M $274.06M $287.86M $327.31M
Interest Income $- $- $- $- $- $4.12M $5.83M $- $6.20M $5.11M $- $- $- $- $- $- $- $- $- $-
Interest Expense $22.24M $24.64M $24.77M $25.36M $2.47M $26.49M $24.21M $19.73M $6.20M $5.11M $6.49M $4.52M $7.24M $5.09M $5.50M $7.70M $8.46M $9.53M $7.72M $8.31M
Depreciation and Amortization $15.47M $15.00M $14.43M $14.41M $15.13M $14.69M $18.13M $12.94M $13.54M $15.17M $15.84M $16.66M $17.92M $34.69M $17.31M $18.15M $16.60M $16.25M $16.25M $16.23M
EBITDA $96.58M $92.73M $82.07M $55.31M $53.56M $39.39M $72.09M $76.04M $104.13M $61.35M $149.95M $63.61M $91.94M $70.99M $82.83M $65.44M $64.31M $65.70M $24.53M $37.10M
EBITDA Ratio 19.40% 17.82% 15.43% 11.64% 11.49% 8.00% 14.39% 17.07% 24.64% 14.41% 33.97% 15.68% 21.29% 18.10% 21.43% 20.81% 18.99% 19.91% 8.30% 10.66%
Operating Income $- $80.45M $63.56M $40.90M $38.43M $30.05M $48.12M $61.32M $19.76M $48.65M $46.20M $49.45M $62.76M $56.66M $60.19M $35.49M $44.74M $46.43M $7.57M $20.59M
Operating Income Ratio 0.00% 15.46% 11.95% 8.61% 8.25% 6.10% 9.61% 13.77% 4.68% 11.43% 10.47% 12.19% 14.53% 14.45% 15.58% 11.29% 13.21% 14.07% 2.56% 5.92%
Total Other Income Expenses Net $58.86M $-27.35M $1.10M $-20.47M $174.95M $-17.02M $-5.45M $-17.94M $9.86M $-2.00M $37.18M $-32.21M $10.15M $9.11M $-2.81M $-11.53M $45.67M $-476.00K $-14.20M $-25.97M
Income Before Tax $58.86M $53.10M $65.95M $45.67M $39.66M $30.05M $48.12M $43.37M $84.39M $45.02M $129.29M $16.79M $67.83M $31.21M $60.01M $41.81M $91.73M $48.97M $-6.63M $-5.38M
Income Before Tax Ratio 11.82% 10.20% 12.40% 9.61% 8.51% 6.10% 9.61% 9.74% 19.97% 10.58% 29.29% 4.14% 15.71% 7.96% 15.53% 13.30% 27.08% 14.84% -2.24% -1.55%
Income Tax Expense $-21.35M $16.22M $-58.99M $10.86M $33.00K $-981.00K $-15.33M $14.60M $17.69M $9.21M $39.44M $7.61M $27.65M $6.43M $35.41M $14.59M $20.14M $14.78M $-1.32M $-3.43M
Net Income $80.21M $36.42M $116.34M $34.23M $41.26M $25.57M $59.15M $24.85M $73.01M $36.32M $92.08M $9.18M $28.92M $22.30M $27.24M $52.95M $98.00M $35.56M $-1.87M $-61.74M
Net Income Ratio 16.11% 7.00% 21.87% 7.21% 8.86% 5.19% 11.81% 5.58% 17.28% 8.53% 20.86% 2.26% 6.70% 5.69% 7.05% 16.84% 28.93% 10.78% -0.63% -17.75%
EPS $4.22 $1.56 $5.72 $1.65 $1.94 $1.20 $2.75 $1.23 $3.17 $1.33 $4.03 $0.41 $1.39 $1.06 $1.25 $2.34 $4.38 $1.43 $-0.07 $-2.47
EPS Diluted $3.40 $1.65 $4.73 $1.38 $1.75 $1.02 $2.32 $1.09 $2.82 $1.33 $3.52 $0.41 $1.25 $0.92 $1.03 $1.60 $2.52 $0.74 $-0.07 $-2.47
Weighted Average Shares Outstanding 19.02M 25.35M 20.33M 20.76M 21.25M 21.30M 21.51M 22.73M 23.04M 27.25M 22.85M 22.21M 20.80M 21.02M 21.83M 22.62M 24.71M 24.87M 24.96M 25.02M
Weighted Average Shares Outstanding Diluted 22.81M 23.99M 24.62M 24.81M 25.35M 25.08M 25.46M 25.54M 27.02M 27.25M 27.06M 22.64M 25.68M 27.67M 29.56M 34.93M 42.93M 52.07M 24.96M 25.02M
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 December 31, 2024 December 31, 2023 December 31, 2022 December 31, 2021 December 31, 2020
Cash and Cash Equivalents $404.44M $577.93M $234.45M $325.36M $135.79M
Short Term Investments $- $-1.44M $- $- $106.00K
Cash and Short Term Investments $404.44M $577.93M $234.45M $325.36M $135.89M
Net Receivables $228.00M $935.40M $724.87M $536.89M $399.14M
Inventory $195.62M $202.29M $214.08M $184.27M $137.09M
Other Current Assets $1.62B $911.74M $1.20B $237.58M $131.18M
Total Current Assets $2.44B $2.63B $1.81B $1.28B $803.30M
Property Plant Equipment Net $342.07M $330.73M $281.22M $271.61M $258.71M
Goodwill $145.67M $148.84M $125.81M $148.02M $150.85M
Intangible Assets $97.28M $114.18M $94.78M $119.83M $138.58M
Goodwill and Intangible Assets $242.95M $263.01M $220.60M $267.85M $289.43M
Long Term Investments $84.69M $42.66M $309.70M $261.08M $291.30M
Tax Assets $80.27M $- $- $511.44M $66.55M
Other Non-Current Assets $386.59M $726.68M $619.11M $79.14M $2.23B
Total Non-Current Assets $1.14B $1.36B $1.43B $1.39B $3.13B
Other Assets $- $- $- $- $-
Total Assets $3.58B $3.99B $3.24B $2.68B $3.93B
Account Payables $131.77M $131.92M $109.57M $123.28M $100.76M
Short Term Debt $- $19.92M $10.60M $11.12M $10.76M
Tax Payables $- $- $- $- $-
Deferred Revenue $- $- $4.38M $88.73M $74.05M
Other Current Liabilities $1.69B $1.91B $1.53B $580.61M $405.48M
Total Current Liabilities $1.82B $2.07B $1.65B $715.01M $517.00M
Long Term Debt $172.72M $425.71M $412.14M $784.55M $2.44B
Deferred Revenue Non-Current $- $- $- $231.95M $330.35M
Deferred Tax Liabilities Non-Current $10.05M $18.35M $41.05M $13.67M $2.17M
Other Non-Current Liabilities $405.70M $475.83M $332.05M $492.94M $440.53M
Total Non-Current Liabilities $588.47M $919.90M $785.25M $1.29B $2.88B
Other Liabilities $- $- $- $- $-
Total Liabilities $2.41B $2.99B $2.43B $2.01B $3.40B
Preferred Stock $- $- $- $- $-
Common Stock $- $1.41B $952.09M $795.14M $707.31M
Retained Earnings $- $- $205.97M $- $-
Accumulated Other Comprehensive Income Loss $-102.38M $-121.22M $-151.87M $-131.80M $-172.65M
Other Total Stockholders Equity $1.28B $-329.30M $953.33M $131.80M $172.65M
Total Stockholders Equity $1.17B $958.63M $801.46M $-131.80M $-172.65M
Total Equity $1.21B $1.01B $802.70M $-126.09M $-168.09M
Total Liabilities and Stockholders Equity $3.58B $3.99B $3.24B $2.01B $3.40B
Minority Interest $41.01M $46.78M $1.24M $5.71M $4.56M
Total Liabilities and Total Equity $3.58B $3.99B $3.24B $2.01B $3.40B
Total Investments $84.69M $41.23M $309.70M $261.08M $291.40M
Total Debt $172.72M $445.64M $257.52M $632.50M $2.45B
Net Debt $-231.72M $-132.29M $23.07M $307.13M $2.31B


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 $404.44M $388.12M $428.79M $446.67M $577.93M $562.15M $353.16M $305.05M $234.45M $361.52M $201.62M $201.43M $325.36M $132.74M $224.32M $200.24M $135.79M $141.26M $107.08M $395.82M
Short Term Investments $- $- $- $- $- $- $- $- $- $- $5.38M $- $- $- $- $126.00K $106.00K $137.00K $155.00K $123.00K
Cash and Short Term Investments $404.44M $388.12M $428.79M $446.67M $577.93M $562.15M $353.16M $305.05M $234.45M $361.52M $201.62M $201.43M $325.36M $132.74M $224.32M $200.36M $135.89M $141.40M $107.24M $395.94M
Net Receivables $228.00M $240.47M $932.00M $1.63B $935.40M $906.89M $945.92M $818.77M $724.87M $697.95M $634.93M $602.32M $536.89M $558.13M $484.59M $445.09M $399.14M $408.86M $424.08M $516.71M
Inventory $195.62M $210.71M $205.41M $204.82M $202.29M $214.85M $224.10M $220.91M $214.08M $210.85M $212.65M $196.99M $184.27M $169.70M $157.94M $151.57M $137.09M $149.56M $143.92M $153.09M
Other Current Assets $1.62B $1.48B $1.46B $736.88M $1.67B $1.52B $1.51B $737.44M $1.20B $442.05M $426.31M $365.78M $237.58M $198.04M $183.58M $140.16M $131.18M $110.00M $96.44M $93.28M
Total Current Assets $2.44B $2.32B $2.29B $2.31B $2.63B $2.50B $2.30B $2.08B $1.81B $1.71B $1.48B $1.37B $1.28B $1.06B $1.05B $937.19M $803.30M $809.82M $771.68M $1.16B
Property Plant Equipment Net $342.07M $343.87M $319.96M $325.84M $330.73M $323.19M $322.03M $289.82M $281.22M $273.89M $264.24M $260.64M $271.61M $241.99M $247.32M $250.44M $258.71M $261.69M $269.87M $279.18M
Goodwill $145.67M $145.96M $148.80M $148.79M $148.84M $148.63M $148.03M $125.91M $125.81M $125.37M $122.84M $122.86M $148.02M $148.03M $148.03M $148.03M $150.85M $151.94M $151.93M $151.92M
Intangible Assets $97.28M $101.56M $105.62M $109.83M $114.18M $118.35M $123.35M $91.37M $94.78M $98.36M $100.29M $103.64M $119.83M $124.34M $128.86M $133.42M $138.58M $143.67M $148.64M $153.75M
Goodwill and Intangible Assets $242.95M $247.51M $254.42M $258.62M $263.01M $266.98M $271.37M $217.28M $220.60M $223.73M $223.13M $226.49M $267.85M $272.37M $276.89M $281.45M $289.43M $295.61M $300.57M $305.67M
Long Term Investments $84.69M $78.33M $708.10M $723.09M $754.47M $39.37M $239.84M $305.96M $309.70M $263.96M $257.07M $228.23M $261.08M $256.62M $281.63M $273.78M $291.30M $219.16M $214.72M $220.83M
Tax Assets $80.27M $81.40M $80.46M $-1 $-1 $475.16M $462.73M $- $- $- $443.49M $- $511.44M $16.98M $19.76M $52.21M $66.55M $83.38M $94.55M $96.00M
Other Non-Current Assets $386.59M $565.03M $19.99M $20.18M $14.88M $348.68M $165.98M $657.62M $619.11M $594.64M $188.51M $504.07M $79.14M $786.82M $1.99B $2.59B $2.23B $2.33B $2.30B $247.29M
Total Non-Current Assets $1.14B $1.32B $1.38B $1.33B $1.36B $1.45B $1.46B $1.47B $1.43B $1.36B $1.38B $1.22B $1.39B $1.57B $2.82B $3.45B $3.13B $3.19B $3.18B $1.15B
Other Assets $- $- $1 $1 $1 $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Total Assets $3.58B $3.63B $3.67B $3.64B $3.99B $3.95B $3.77B $3.55B $3.24B $3.07B $2.85B $2.59B $2.68B $2.63B $3.87B $4.39B $3.93B $4.00B $3.95B $2.31B
Account Payables $131.77M $154.64M $151.67M $142.89M $131.92M $131.89M $135.93M $120.08M $109.57M $132.83M $142.24M $154.55M $123.28M $133.03M $130.50M $136.44M $100.76M $117.04M $107.94M $103.46M
Short Term Debt $- $- $67.00K $71.00K $19.92M $262.00K $350.00K $1.05M $10.60M $459.00K $1.22M $1.53M $11.12M $11.24M $10.79M $11.18M $10.76M $14.02M $14.39M $14.73M
Tax Payables $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Deferred Revenue $- $- $7.02M $7.24M $7.39M $137.98M $136.08M $- $4.38M $3.26M $111.15M $3.21M $88.73M $78.86M $68.19M $61.74M $74.05M $74.08M $73.43M $81.41M
Other Current Liabilities $1.69B $1.67B $1.67B $1.72B $1.91B $1.96B $1.84B $1.75B $1.53B $1.31B $1.03B $626.97M $580.61M $418.65M $391.66M $454.73M $405.48M $434.50M $524.52M $684.16M
Total Current Liabilities $1.82B $1.82B $1.82B $1.87B $2.07B $2.09B $1.98B $1.87B $1.65B $1.45B $1.17B $783.04M $715.01M $562.92M $532.95M $602.35M $517.00M $565.57M $646.85M $802.35M
Long Term Debt $172.72M $172.20M $188.69M $159.47M $425.71M $267.42M $272.24M $256.65M $412.14M $273.09M $472.95M $508.84M $784.55M $1.09B $2.42B $2.92B $2.44B $2.62B $2.55B $720.18M
Deferred Revenue Non-Current $- $- $55.03M $58.31M $64.42M $237.94M $243.63M $- $- $- $225.69M $- $231.95M $288.68M $292.14M $293.01M $330.35M $330.61M $- $326.01M
Deferred Tax Liabilities Non-Current $10.05M $35.07M $26.31M $18.99M $18.35M $5.97M $15.96M $48.16M $41.05M $31.02M $28.58M $12.04M $13.67M $2.11M $2.18M $2.15M $2.17M $1.75M $- $3.61M
Other Non-Current Liabilities $405.70M $522.55M $525.17M $596.26M $475.83M $655.05M $587.41M $560.67M $332.05M $571.63M $457.06M $627.80M $492.94M $373.53M $321.50M $269.24M $440.53M $343.16M $317.83M $352.33M
Total Non-Current Liabilities $588.47M $729.82M $740.10M $774.73M $919.90M $928.44M $875.60M $865.49M $785.25M $875.75M $958.59M $1.15B $1.29B $1.47B $2.74B $3.19B $2.88B $2.96B $2.87B $1.08B
Other Liabilities $- $- $1 $1 $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Total Liabilities $2.41B $2.55B $2.56B $2.64B $2.99B $3.02B $2.85B $2.73B $2.43B $2.32B $2.13B $1.93B $2.01B $2.03B $3.28B $3.79B $3.40B $3.53B $3.52B $1.88B
Preferred Stock $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Common Stock $- $- $1.19B $1.08B $1.08B $1.04B $1.02B $- $952.09M $883.13M $1.15B $785.46M $795.14M $772.61M $759.61M $760.62M $926.55M $837.97M $799.36M $801.18M
Retained Earnings $- $- $- $- $- $- $- $- $205.97M $130.80M $- $- $- $- $- $- $- $- $- $-
Accumulated Other Comprehensive Income Loss $-102.38M $-121.15M $-122.94M $-122.33M $-121.22M $-152.91M $-150.96M $-150.78M $-151.87M $-136.63M $-134.46M $-132.26M $-131.80M $-172.83M $-172.25M $-172.87M $-172.65M $-174.12M $-175.50M $-176.88M
Other Total Stockholders Equity $1.28B $1.20B $- $-368.78M $-329.30M $49.44M $49.56M $150.78M $953.33M $884.30M $-295.70M $132.26M $131.80M $5.16M $5.28M $4.95M $-214.68M $-194.25M $-194.57M $-194.78M
Total Stockholders Equity $1.17B $1.08B $1.07B $953.70M $958.63M $934.97M $915.88M $- $801.46M $747.67M $722.45M $-132.26M $-131.80M $604.94M $592.63M $592.71M $539.22M $469.59M $429.29M $429.52M
Total Equity $1.21B $1.12B $1.11B $1.00B $1.01B $984.41M $965.44M $1.20M $802.70M $748.84M $723.51M $-131.24M $-126.09M $610.10M $597.90M $597.66M $543.78M $474.12M $433.50M $433.51M
Total Liabilities and Stockholders Equity $3.58B $3.63B $3.67B $3.64B $3.99B $3.95B $3.77B $2.73B $3.24B $3.07B $2.13B $1.93B $2.01B $2.63B $3.87B $4.39B $3.93B $4.00B $3.95B $2.31B
Minority Interest $41.01M $40.82M $45.47M $47.51M $46.78M $49.44M $49.56M $1.20M $1.24M $1.17M $1.06M $1.02M $5.71M $5.16M $5.28M $4.95M $4.56M $4.53M $4.21M $4.00M
Total Liabilities and Total Equity $3.58B $3.63B $3.67B $3.64B $3.99B $3.95B $3.77B $2.73B $3.24B $3.07B $2.13B $1.93B $2.01B $2.63B $3.87B $4.39B $3.93B $4.00B $3.95B $2.31B
Total Investments $84.69M $78.33M $708.10M $723.09M $754.47M $39.37M $239.84M $305.96M $309.70M $263.96M $262.45M $228.23M $261.08M $256.62M $281.63M $273.90M $291.40M $219.29M $214.87M $220.96M
Total Debt $172.72M $174.27M $293.63M $313.21M $445.64M $267.68M $272.59M $257.71M $257.52M $273.55M $323.27M $510.37M $632.50M $952.22M $2.28B $2.78B $2.45B $2.49B $2.42B $591.56M
Net Debt $-231.72M $-213.86M $-135.16M $-133.45M $-132.29M $-294.47M $-80.57M $-47.35M $23.07M $-87.97M $121.65M $308.93M $307.13M $819.48M $2.06B $2.58B $2.31B $2.34B $2.31B $195.74M

Annual Cash Flow

Breakdown December 31, 2024 December 31, 2023 December 31, 2022 December 31, 2021 December 31, 2020
Net Income $271.22M $150.83M $206.16M $132.44M $83.48M
Depreciation and Amortization $59.31M $56.56M $53.76M $60.52M $65.33M
Deferred Income Tax $-93.91M $-30.07M $48.55M $72.80M $22.06M
Stock Based Compensation $2.23M $1.62M $1.28M $1.46M $887.00K
Change in Working Capital $83.61M $-244.96M $-421.26M $-188.33M $137.15M
Accounts Receivables $- $4.80M $-710.00K $-38.03M $8.72M
Inventory $6.12M $19.25M $-41.09M $-48.34M $12.22M
Accounts Payables $-44.43M $4.91M $35.01M $8.51M $-16.00M
Other Working Capital $121.92M $-273.93M $-414.47M $-110.46M $132.21M
Other Non Cash Items $40.83M $87.24M $-98.72M $-1.12M $15.18M
Net Cash Provided by Operating Activities $363.28M $21.22M $-210.23M $77.77M $324.09M
Investments in Property Plant and Equipment $-64.96M $-51.45M $-47.54M $-52.33M $-23.23M
Acquisitions Net $- $65.90M $95.15M $16.00M $-3.50M
Purchases of Investments $-142.41M $-208.84M $-310.80M $-50.07M $-14.37M
Sales Maturities of Investments $284.08M $259.05M $175.88M $36.58M $43.89M
Other Investing Activities $34.46M $-206.86M $-89.24M $1.57B $-1.90B
Net Cash Used for Investing Activities $111.16M $-142.20M $-176.56M $1.52B $-1.90B
Debt Repayment $-83.53M $-15.44M $-381.81M $-1.82B $2.04B
Common Stock Issued $- $- $- $- $-
Common Stock Repurchased $-111.36M $-20.04M $-44.97M $-45.04M $-20.46M
Dividends Paid $-9.52M $-9.63M $-9.63M $-9.63M $-40.00M
Other Financing Activities $-441.91M $509.67M $733.59M $466.52M $-400.53M
Net Cash Used Provided by Financing Activities $-646.31M $464.56M $297.17M $-1.40B $1.57B
Effect of Forex Changes on Cash $-1.62M $-101.00K $-1.30M $-657.00K $-1.34M
Net Change in Cash $-173.49M $343.48M $-90.92M $189.57M $-2.16M
Cash at End of Period $404.44M $577.93M $234.45M $325.36M $135.79M
Cash at Beginning of Period $577.93M $234.45M $325.36M $135.79M $137.95M
Operating Cash Flow $363.28M $21.22M $-210.23M $77.77M $324.09M
Capital Expenditure $-64.96M $-51.45M $-47.54M $-52.33M $-23.23M
Free Cash Flow $298.32M $-30.23M $-257.77M $25.45M $300.86M

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 $74.60M $36.87M $116.34M $34.23M $41.26M $27.89M $58.62M $24.85M $73.08M $36.43M $92.11M $4.54M $29.57M $22.10M $27.43M $53.34M $82.97M $37.38M $-417.00K $-36.46M
Depreciation and Amortization $15.47M $15.00M $14.43M $14.41M $15.13M $14.69M $13.80M $12.94M $13.54M $12.70M $13.35M $14.16M $15.33M $14.99M $15.07M $15.13M $16.60M $16.25M $16.25M $16.23M
Deferred Income Tax $-28.69M $7.33M $-73.21M $654.00K $321.00K $-9.47M $-30.64M $9.72M $30.86M $2.52M $16.27M $-1.11M $27.12M $3.08M $31.97M $10.63M $16.83M $12.44M $-2.58M $-4.63M
Stock Based Compensation $560.00K $765.00K $522.00K $381.00K $610.00K $599.00K $419.00K $-11.00K $438.00K $369.00K $354.00K $119.00K $346.00K $399.00K $354.00K $363.00K $298.00K $333.00K $50.00K $206.00K
Change in Working Capital $-81.29M $-138.42M $-5.90M $144.31M $-59.09M $-7.07M $-66.21M $-112.59M $-218.09M $-13.13M $-125.04M $-65.00M $-51.49M $-20.60M $-60.94M $-55.29M $-13.94M $-18.55M $57.57M $112.08M
Accounts Receivables $12.53M $26.56M $-19.18M $-7.37M $17.80M $25.18M $-10.38M $-15.40M $24.24M $7.75M $3.65M $-36.36M $-7.87M $3.59M $-10.19M $-23.56M $8.75M $-11.38M $33.60M $-22.25M
Inventory $14.36M $-5.02M $-468.00K $-2.75M $13.01M $8.91M $3.91M $-6.58M $-2.53M $-266.00K $-15.82M $-22.47M $-13.92M $-11.94M $-6.24M $-16.25M $10.78M $-5.27M $9.55M $-2.84M
Accounts Payables $-23.84M $-74.64M $77.47M $-23.42M $9.60M $-8.70M $-11.14M $15.15M $-50.36M $9.86M $21.55M $53.96M $9.69M $5.90M $5.27M $-12.34M $-21.87M $9.67M $18.32M $-22.12M
Other Working Capital $-84.34M $-85.31M $-63.72M $177.86M $-99.50M $-32.47M $-48.60M $-105.76M $-189.45M $-30.48M $-132.65M $-96.48M $-39.39M $-18.15M $-49.78M $-3.15M $-11.59M $-11.58M $-3.90M $159.28M
Other Non Cash Items $14.45M $180.21M $-11.67M $66.22M $11.32M $39.55M $17.76M $16.84M $-51.54M $3.45M $1.83M $33.97M $-2.12M $23.93M $-5.99M $-16.94M $-73.25M $-11.50M $22.70M $77.22M
Net Cash Provided by Operating Activities $-4.89M $101.76M $68.95M $197.46M $9.55M $66.19M $-6.26M $-48.25M $-151.71M $42.34M $-87.55M $-13.31M $18.75M $43.89M $7.90M $7.23M $29.51M $36.36M $93.57M $164.66M
Investments in Property Plant and Equipment $-9.25M $-37.35M $-8.30M $-10.07M $-14.78M $-13.12M $-12.84M $-10.71M $-17.35M $-11.72M $-10.72M $-7.75M $-32.77M $-5.63M $-9.02M $-4.90M $-7.64M $-4.55M $-4.04M $-6.99M
Acquisitions Net $- $- $-10.73M $1.15M $1.21M $490.00K $65.90M $- $-11.98M $-34.95M $142.08M $-8.61M $-16.00M $- $6.98M $16.00M $-3.50M $- $- $-3.50M
Purchases of Investments $-91.71M $-7.52M $-29.11M $-14.08M $-4.22M $-190.42M $-8.46M $-5.73M $-25.91M $-140.66M $-125.21M $-19.02M $-41.06M $- $-8.02M $-1.00M $-7.11M $-893.00K $-1.44M $-4.92M
Sales Maturities of Investments $253.46M $4.80M $18.64M $7.18M $10.10M $211.66M $1.74M $37.55M $19.98M $149.00M $1.54M $5.36M $3.62M $4.51M $2.36M $26.09M $8.57M $5.79M $12.60M $16.93M
Other Investing Activities $-43.65M $-13.61M $35.46M $54.94M $34.04M $-33.41M $-36.27M $-175.07M $-55.64M $-19.96M $-70.52M $56.88M $262.88M $1.13B $576.78M $-390.15M $120.87M $1.34M $-2.01B $-9.95M
Net Cash Used for Investing Activities $108.85M $-53.68M $5.96M $39.12M $26.34M $-24.79M $10.06M $-153.96M $-90.91M $-58.29M $-62.84M $35.48M $176.68M $1.13B $569.08M $-353.96M $111.18M $1.69M $-2.00B $-8.44M
Debt Repayment $-1.80M $- $-16.94M $-105.14M $-1.02M $-3.33M $-4.08M $-7.01M $-14.82M $-58.18M $-189.64M $-119.18M $-326.01M $-1.33B $-498.84M $336.68M $-89.47M $65.18M $1.83B $227.45M
Common Stock Issued $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Common Stock Repurchased $-4.46M $-63.94M $-1.65M $-41.32M $-313.00K $-4.89M $-11.59M $-3.25M $-3.65M $-9.90M $-21.00M $-10.42M $-6.74M $-9.69M $-28.61M $-2.41M $-20.46M $- $40.00M $-40.00M
Dividends Paid $-2.38M $-4.76M $-2.38M $-2.38M $-2.41M $-2.41M $-2.41M $-2.41M $-2.41M $-2.41M $-2.41M $-2.41M $-2.41M $-2.41M $-2.41M $-2.41M $- $- $- $-40.00M
Other Financing Activities $-77.24M $-21.13M $-82.33M $-218.48M $-18.12M $178.87M $63.53M $285.39M $136.13M $245.45M $365.88M $-13.86M $332.66M $78.56M $-22.23M $75.12M $-33.20M $-69.14M $-210.89M $-127.30M
Net Cash Used Provided by Financing Activities $-85.88M $-89.83M $-92.42M $-367.29M $-21.86M $168.24M $45.46M $272.72M $115.25M $174.96M $152.83M $-145.86M $-2.49M $-1.26B $-552.10M $411.80M $-143.13M $-3.97M $1.62B $100.15M
Effect of Forex Changes on Cash $-1.76M $1.08M $-376.00K $-557.00K $1.60M $-648.00K $-1.15M $100.00K $297.00K $894.00K $-2.25M $-239.00K $-320.00K $1.07M $-796.00K $-614.00K $-1.52M $98.00K $103.00K $-19.00K
Net Change in Cash $16.32M $-40.67M $-17.88M $-131.26M $15.78M $208.99M $48.10M $70.61M $-127.07M $159.89M $191.00K $-123.93M $192.62M $-91.58M $24.09M $64.45M $-5.48M $34.18M $-288.74M $256.36M
Cash at End of Period $404.44M $388.12M $428.79M $446.67M $577.93M $562.15M $353.16M $305.05M $234.45M $361.52M $201.62M $201.43M $325.36M $132.74M $224.32M $200.24M $135.79M $141.26M $107.08M $395.82M
Cash at Beginning of Period $388.12M $428.79M $446.67M $577.93M $562.15M $353.16M $305.05M $234.45M $361.52M $201.62M $201.43M $325.36M $132.74M $224.32M $200.24M $135.79M $141.26M $107.08M $395.82M $139.47M
Operating Cash Flow $-4.89M $101.76M $68.95M $197.46M $9.55M $66.19M $-6.26M $-48.25M $-151.71M $42.34M $-87.55M $-13.31M $18.75M $43.89M $7.90M $7.23M $29.51M $36.36M $93.57M $164.66M
Capital Expenditure $-9.25M $-37.35M $-8.30M $-10.07M $-14.78M $-13.12M $-12.84M $-10.71M $-17.35M $-11.72M $-10.72M $-7.75M $-32.77M $-5.63M $-9.02M $-4.90M $-7.64M $-4.55M $-4.04M $-6.99M
Free Cash Flow $-14.14M $64.41M $60.66M $187.39M $-5.24M $53.07M $-19.11M $-58.96M $-169.06M $30.62M $-98.28M $-21.06M $-14.02M $38.26M $-1.13M $2.33M $21.86M $31.81M $89.53M $157.66M

Steel Partners Holdings L.P Dividends

Explore Steel Partners Holdings L.P's dividend history, including dividend yield, payout ratio, and historical payments.

Dividend Yield

1.12%

Dividend Payout Ratio

83646.75%

Dividend Paid & Capex Coverage Ratio

4.88x

Steel Partners Holdings L.P Dividend History

Dividend Adjusted Dividend Date Record Date Payment Date Declaration Date
$0.15 $0.15 December 29, 2016 January 03, 2017 January 13, 2017 December 22, 2016

Steel Partners Holdings L.P News

Read the latest news about Steel Partners Holdings L.P, including recent articles, headlines, and updates.

Steel Partners Q4 Earnings Surge 94% Y/Y, Revenues Climb 6.6%

SPLP posts strong Q4 earnings, with 75% growth in net income, a 6.6% revenue increase and improved margins. See key highlights and segment performances.

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Steel Partners Holdings Reports Fourth Quarter and Full Year Results

NEW YORK--(BUSINESS WIRE)--Steel Partners Holdings L.P. (NYSE: SPLP) (the "Company"), a diversified global holding company, today announced operating results for the fourth quarter and year ended December 31, 2024. The financial results of Steel Connect, Inc. ("Steel Connect" or "STCN") have been included in the Company's consolidated financial statements since the exchange transaction on May 1, 2023. Unaudited             Q4 2024   Q4 2023   ($ in thousands)   FY 2024   FY 2023 $497,920   $466.

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Steel Partners Holdings Declares Regular Quarterly Distribution On its Series A Preferred Units

NEW YORK--(BUSINESS WIRE)--Steel Partners Holdings L.P. (NYSE: SPLP), a diversified global holding company, today announced that its board of directors has declared a regular quarterly cash distribution of $.375 per unit, payable March 15, 2025, to unitholders of record as of March 1, 2025, on its 6% Series A Preferred Units, no par value ("Series A Preferred"). Any future determination to declare distributions on its units of Series A Preferred, and any determination to pay such distributions.

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FendX Announces Granting of United States Patent to Protect REPELWRAP(TM) Film

US Patent Represents FendX's 5th Patent Issued Oakville, Ontario--(Newsfile Corp. - November 14, 2024) - FendX Technologies Inc. (CSE: FNDX) (OTCQB: FDXTF) (FSE: E8D) (the "Company" or "FendX") a nanotechnology company developing surface protection coatings, is pleased to announce that its United States ("US") patent application was registered as a granted patent on October 8, 2024, further supporting the Company's commitment to build on its intellectual property position and coverage for the Company's nanotechnology, its methods and products in development. Dr. Carolyn Myers, CEO of FendX states, "The US patent represents a significant milestone for us that excludes others from making, using, or selling the innovation that protects our REPELWRAP™ film in the US.

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Steel Partners Q3 Earnings & Revenues Increase Year Over Year

Increased profitability across most segments boosts SPLP's third-quarter earnings.

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Steel Partners Holdings Reports Third Quarter Financial Results

NEW YORK--(BUSINESS WIRE)--Steel Partners Holdings L.P. (NYSE: SPLP) (the “Company”), a diversified global holding company, today announced operating results for the third quarter ended September 30, 2024. The financial results of Steel Connect, Inc. ("Steel Connect" or "STCN") have been included in the Company's consolidated financial statements since May 1, 2023. (Unaudited)             Q3 2024   Q3 2023   ($ in thousands)   YTD 2024   YTD 2023 $520,423   $492,254   Revenue   $1,529,928   $1,.

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New Jersey Court Dismisses Age Discrimination Claim Against Steel Partners Filed by Michael MacManus

NEW YORK--(BUSINESS WIRE)--Steel Partners Holdings L.P. (NYSE: SPLP) (the “Company”) is pleased to announce that the Superior Court of New Jersey dismissed attorney Michael MacManus's claim of age discrimination in the matter of Michael MacManus vs. Steel Services, Ltd. following a court hearing on August 29, 2024 regarding the Company's motion for summary judgment. “We're very happy that the New Jersey courts agree that the culture of Steel Partners is inclusive and open” said Warren Lichtenst.

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FendX Announces Grant of Japanese Patent to Protect REPELWRAP(TM) Film

Japanese Patent Represents FendX's 4th Patent Issued Oakville, Ontario--(Newsfile Corp. - October 29, 2024) - FendX Technologies Inc. (CSE: FNDX) (OTCQB: FDXTF) (FSE: E8D) (the "Company" or "FendX") a nanotechnology company developing surface protection coatings, is pleased to announce that its Japanese patent application was registered as a granted patent on October 10, 2024, further supporting the Company's commitment to build on its intellectual property position and coverage for the Company's nanotechnology, its methods and products in development. Dr. Carolyn Myers, CEO of FendX states, "The Japanese patent represents the 4th country in which this patent protecting our REPELWRAP™ film, has been granted.

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FendX Completes Pilot Manufacturing Phase and Prepares to Advance to Real-World Assessment of REPELWRAP(TM) Film

Will evaluate the real-world repelling effectiveness of REPELWRAP(TM) film on surfaces at various test venues Oakville, Ontario--(Newsfile Corp. - September 4, 2024) - FendX Technologies Inc. (CSE: FNDX) (OTCQB: FDXTF) (FSE: E8D) (the "Company" or "FendX") a nanotechnology company developing surface protection coatings, is pleased to announce that it has successfully completed its pilot manufacturing phase with Dunmore International Inc. and is now moving forward to evaluate the effectiveness of REPELWRAP™ film in real-world settings. Dr. Carolyn Myers, CEO of FendX states, "With the completion of our pilot manufacturing phase of development, we are excited to embark on real-world testing at various announced test sites.

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2 Small Caps Recently Upgraded to Outperform

Fitlife Brands (FTLF) and Steel Partners Holdings L.P. (SPLP) are executing on their business plans.

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Steel Partners (SPLP) Earnings & Revenues Rise Y/Y in Q2

Higher contributions from the Diversified Industrial segment aid Steel Partners' (SPLP) earnings in Q2.

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The Zacks Analyst Blog Berkshire Hathaway, McDonald's, American Express and Steel Partners Holdings

Berkshire Hathaway, McDonald's, American Express and Steel Partners Holdings are included in this Analyst Blog.

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Zacks Initiates Coverage of Steel Partners With Neutral Recommendation

Discover why Zacks rates Steel Partners (SPLP) as "Neutral," being the first on Wall Street to initiate coverage on the stock. Explore SPLP's revenue growth, diversified operations, acquisitions and solid financials amid challenges in key segments.

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WebBank, a Steel Partners Company, Honored as One of American Banker's Best Places to Work in Financial Technology 2024

SALT LAKE CITY--(BUSINESS WIRE)--WebBank, a wholly owned subsidiary of Steel Partners Holdings (NYSE: SPLP), has been named one of the 2024 Best Places to Work in Financial Technology. This is the second year in a row WebBank has been named a winner, ranking ninth on the list of forty companies. The awards program was created in 2017 and is a project of Arizent and Best Companies Group. This annual survey and awards program is designed to identify, recognize, and honor the best employers in the.

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Steel Partners Holdings Releases Annual Letter from Executive Chairman Warren Lichtenstein

NEW YORK--(BUSINESS WIRE)--Steel Partners Holdings L.P. (NYSE: SPLP), a diversified global holding company, today released its annual letter from the Company's Executive Chairman, Warren Lichtenstein. The letter can be accessed at https://ir.steelpartners.com/investor-letters. The annual letter includes reviews of the Company's 2023 financial results, provides highlights and updates from the Company's holdings, and discusses the philosophy and strategy going forward. About Steel Partners Holdin.

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FendX Advancing REPELWRAP(TM) Film with Dunmore by Conducting an Additional Pilot Manufacturing Run on Dunmore's Commercial Manufacturing Line and Provides Corporate Update

Oakville, Ontario--(Newsfile Corp. - April 23, 2024) - FendX Technologies Inc. (CSE: FNDX) (OTCQB: FDXTF) (FSE: E8D) (the "Company" or "FendX") a nanotechnology company developing surface protection coatings, is pleased to announce that the Company has entered into a development stage agreement on April 22, 2024 with Dunmore International Corp. ("Dunmore"), a Steel Partners Holdings L.P. (NYSE: SPLP) operating company, to conduct an additional pilot manufacturing run to further optimize the manufacturing process of REPELWRAP™ film.

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FendX Continues to Advance Optimization of REPELWRAP(TM) Film with Completion of Pilot Manufacturing Run on Dunmore's Commercial Manufacturing Equipment and Provides Corporate Update

Oakville, Ontario--(Newsfile Corp. - March 28, 2024) - FendX Technologies Inc. (CSE: FNDX) (OTCQB: FDXTF) (FSE: E8D) (the "Company" or "FendX"), a nanotechnology company developing surface protection coatings to reduce the spread of pathogens, is pleased to announce that the Company continues to streamline the manufacturing process through completion of a further pilot run on Dunmore International Corp.'s ("Dunmore") commercial manufacturing equipment. The latest pilot run provided valuable insights into the nano-particle deposition on the film, leading to further optimization of the manufacturing time.

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FendX and Dunmore Continue Successful Collaboration to Further REPELWRAP(TM) Film Development with a Next Pilot Manufacturing Run

Oakville, Ontario--(Newsfile Corp. - February 27, 2024) - FendX Technologies Inc. (CSE: FNDX) (OTCQB: FDXTF) (FSE: E8D) (the "Company" or "FendX") a nanotechnology company developing surface protection coatings, is pleased to announce that the Company has entered into a development stage agreement on February 26, 2024 with Dunmore International Corp. ("Dunmore"), a Steel Partners Holdings L.P. (NYSE: SPLP) operating company, for the Company to continue to advance optimization of the manufacturing process to produce intermediate-sized REPELWRAP™ film with another pilot manufacturing run.

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FendX Completes Third Pilot Run to Manufacture REPELWRAP(TM) Film using Dunmore's Commercial Equipment

Oakville, Ontario--(Newsfile Corp. - February 13, 2024) - FendX Technologies Inc. (CSE: FNDX) (OTCQB: FDXTF) (FSE: E8D) (the "Company" or "FendX"), a nanotechnology company developing surface protection coatings to reduce the spread of pathogens, is pleased to announce that the Company has completed a third pilot manufacturing run on Dunmore International Corp.'s ("Dunmore") commercial manufacturing equipment which was successful in furthering optimization of the REPELWRAP™ film manufacturing process and advancement of the Company's scale-up development initiatives of REPELWRAP™ film. The results of the first pilot manufacturing run, announced October 3, 2023, confirmed the REPELWRAP™ film formulation is suitable for automated manufacturing, which involved a two-pass coating process to create the nano-coating on the surface of the film.

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FendX to Conduct Third Pilot Run on Dunmore's Commercial Manufacturing Line for Further Development of REPELWRAP(TM) Film

Oakville, Ontario--(Newsfile Corp. - January 24, 2024) - FendX Technologies Inc. (CSE: FNDX) (OTCQB: FDXTF) (FSE: E8D) (the "Company" or "FendX") a nanotechnology company developing surface protection coatings, is pleased to announce that the Company has entered into a third development stage agreement on January 23, 2024 with Dunmore International Corp. ("Dunmore"), a Steel Partners Holdings L.P. (NYSE: SPLP) operating company, for the Company to continue its development efforts to optimize the intermediate scale-up of REPELWRAP™ film and conduct a third manufacturing pilot run.

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Steel Partners Holdings L.P. Abandons Reverse/Forward Unit Split

NEW YORK--(BUSINESS WIRE)--Steel Partners Holdings L.P. (NYSE: SPLP), a Delaware limited partnership (the “Company” or “Steel Partners”), announced today that it will abandon its previously announced 1-for-12,500 reverse unit split (“Reverse Unit Split”) of its common units, no par value (the “Company Common Units”), followed immediately by a 12,500-for-1 forward unit split of the Company Common Units (the “Forward Unit Split,” and, together with the Reverse Unit Split, the “Reverse/Forward Uni.

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FendX Completes Second Pilot Run to Manufacture REPELWRAP(TM) Film Using Dunmore's Commercial Equipment

Oakville, Ontario--(Newsfile Corp. - January 10, 2024) - FendX Technologies Inc. (CSE: FNDX) (OTCQB: FDXTF) (FSE: E8D) (the "Company" or "FendX"), a nanotechnology company developing surface protection coatings to reduce the spread of pathogens, is pleased to announce that the Company has completed a second pilot manufacturing run on Dunmore International Corp.'s ("Dunmore") commercial manufacturing equipment which was successful in furthering optimization of the REPELWRAP™ film manufacturing process and advancement of the Company's scale-up development initiatives of REPELWRAP™ film. The results of the first pilot manufacturing run, announced on October 3, 2023, confirmed the REPELWRAP™ film formulation can be scaled-up and was suitable for automated manufacturing.

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Steel Partners Holdings L.P. Announces Reverse/Forward Unit Split

NEW YORK--(BUSINESS WIRE)--Steel Partners Holdings L.P. (NYSE: SPLP), a Delaware limited partnership (the “Company” or “Steel Partners”), announced today that it will effect a 1-for-12,500 reverse unit split (“Reverse Unit Split”) of its common units, no par value (the “Company Common Units”), followed immediately by a 12,500-for-1 forward unit split of the Company Common Units (the “Forward Unit Split,” and, together with the Reverse Unit Split, the “Reverse/Forward Unit Split”). The Reverse U.

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FendX Provides Corporate Update

Oakville, Ontario--(Newsfile Corp. - November 15, 2023) - FendX Technologies Inc. (CSE: FNDX) (OTCQB: FDXTF) (FSE: E8D) (the "Company" or "FendX"), a nanotechnology company developing surface protection coatings to reduce the spread of pathogens, is pleased to provide the following letter to shareholders and investors from Dr. Carolyn Myers, the Company's President and CEO. Dear FendX Shareholders, I am pleased to provide an update on the Company's key achievements since my last shareholder letter dated June 19, 2023.

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Bargain 10.4% YTM On Term Preferred Stock From Steel Partners Holdings

Steel Partners Holdings (SPLP) Preferred “A” shares (SPLP-A) currently offers a 10.4% yield to maturity with a relatively short maturity date of 2/7/2026. SPLP is a big cash flow generator that easily covers its preferred stock dividend as well as its interest expense. SPLP owns several businesses in different sectors so sector risk is minimal. This diversification adds a lot of safety to a company that is already making large profits.

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Steel Partners Holdings Reports Third Quarter Financial Results and Declares Quarterly Distribution on its Series A Preferred Units

NEW YORK--(BUSINESS WIRE)--Steel Partners Holdings L.P. (NYSE: SPLP) (the “Company”), a diversified global holding company, today announced operating results for the third quarter ended September 30, 2023. The financial results of Steel Connect, Inc. ("Steel Connect" or "STCN") have been included in the Company's consolidated financial statements since the exchange transaction on May 1, 2023. Q3 2023   Q3 2022   ($ in thousands)   YTD 2023   YTD 2022 $492,254   $425,673   Revenue   $1,438,550  .

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FendX to Conduct Second Pilot Run on Dunmore's Commercial Manufacturing Line for Further Development of REPELWRAP(TM) Film

Oakville, Ontario--(Newsfile Corp. - November 7, 2023) - FendX Technologies Inc. (CSE:FNDX) (OTCQB: FDXTF) (FSE: E8D) (the "Company" or "FendX") a nanotechnology company developing surface protection coatings, is pleased to announce that the Company has entered into a second development stage agreement on November 6, 2023 with Dunmore International Corp. ("Dunmore"), a Steel Partners Holdings L.P. (NYSE: SPLP) operating company, for the Company to continue its development efforts to optimize the intermediate scale-up of REPELWRAP™ film and conduct a second manufacturing pilot run.

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