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Bowman Consulting

US · BWMN #3499 by market cap Listed 2021
42.79 0.00 0.00%
Live - 5344 symbols - heartbeat 281s ago · 2026-10-08 07:07
Pre-market 42.75 -0.09%
After-hours 42.79 0.00%
Market cap
709.97M
P/B
2.77
EPS
0.73
Reader sentiment Are you bullish or bearish on BWMN?

Anonymous reader poll. Unscientific, not investment advice.

✦ Quant Financial Health how this is computed

Fair
  • Altman Z-Score is 2.26, in the 1.8-3.0 "grey zone".
  • Most reliable for industrial/manufacturing companies; less meaningful for banks, insurers and other financials.

Revenue annual, last 7 years

Latest year +14.88% YoY

Margins

Gross margin
53.37%
Operating margin
3.86%
Net margin
2.50%

Key ratios & quality

PEG uses trailing P/E against the 3-year net income growth rate (36.93%/yr) since forward earnings estimates aren't available here, so this is not a "forward PEG." Altman Z-Score below ~1.8 suggests financial distress risk, above ~3.0 suggests low risk; the model is most reliable for industrial/manufacturing companies and less meaningful for banks and other financial firms.

Income statement

Line item 2019 2020 2021 2022 2023 2024 2025
Revenue 113.72M122.02M149.97M261.71M346.26M426.56M490.02M
Gross profit 55.15M55.51M75.44M135.13M176.03M222.80M261.54M
Selling & admin expenses 51.49M51.47M69.03M117.84M158.38M197.45M215.06M
Research & development --------------
Operating profit 2.87M1.76M38.00K5.04M-1.07M-2.48M18.92M
Pretax profit 2.56M1.98M-1.28M1.74M-6.45M-8.95M11.16M
Tax 1.04M989.00K-1.58M-3.27M177.00K-11.98M-1.69M
Net profit 1.53M990.00K299.00K5.01M-6.62M3.03M12.85M
Basic EPS 0000-101
Diluted EPS 0.160.100.030.37-0.530.170.73

Balance sheet

Line item 2019 2020 2021 2022 2023 2024 2025
Total current assets 42.89M35.10M74.41M102.13M154.78M176.62M212.96M
Cash & ST investments 509.00K386.00K20.62M13.28M20.69M6.70M11.07M
Inventory --------------
Total assets 66.80M63.64M138.17M255.76M402.79M505.88M579.68M
Total current liabilities 32.60M23.33M32.85M69.08M126.76M134.98M214.73M
Short-term debt 10.24M8.57M9.59M22.41M74.88M75.45M143.73M
Long-term debt 1.92M2.83M8.41M16.28M13.74M19.99M34.31M
Total liabilities 90,081,000.0046,501,000.0059,757,000.00132,898,000.00239,504,000.00259,766,000.00318,577,000.00
Total equity -23.28M17.14M78.41M122.86M163.28M246.12M261.11M
Retained earnings -17.36M-25.10M-24.80M-19.80M-26.42M-23.39M-10.54M

Cash flow

Line item 2019 2020 2021 2022 2023 2024 2025
Operating cash flow 8.22M10.77M4.72M9.17M11.72M24.30M35.83M
Depreciation & amortization 797.00K2.28M6.37M12.25M18.72M28.45M27.55M
Free cash flow 4.85M9.85M3.81M8.27M9.63M20.75M33.06M
Dividends paid --------------
Stock buybacks / issuance 106.00K-1.20M47.08M13.60M-4.00M14.61M-22.23M
Ending cash balance 509.00K386.00K20.62M13.28M20.69M6.70M11.07M

Returns & efficiency

Line item 2019 2020 2021 2022 2023 2024 2025
ROE % ----0.514.20-4.631.374.82
ROA % 2.281.520.242.14-2.010.622.25
ROIC % ----0.342.72-2.610.802.72
5-year avg ROE % ------------1.25
EBIT margin % 2.521.440.031.93-0.31-0.583.86
FCF / sales % 4.277.732.543.162.784.866.75
Current ratio 1.321.502.261.481.221.310.99
Quick ratio 1.251.412.121.381.131.160.91
Debt / assets 19.0529.7020.2731.6834.9329.7441.78
LT debt / equity --60.2923.5047.7140.3030.4737.71
Interest coverage --------------
Revenue CAGR (3Y) % ------32.0341.5841.6923.25
Net income CAGR (3Y) % ------48.58--116.5036.93
FCF CAGR (3Y) % ------19.44-0.7475.9158.73

Revenue breakdown most recent period

Business

Providing multi-disciplinary professional engineering solutions to customers100.00%

Quote time 2026-10-08 07:07:34 · For reference only, not investment advice and not tailored to your situation.