Steelcase Inc. logo SCS - Steelcase Inc.

Inactive Ticker SCS is not actively trading. Quotes and analytics may be stale.
Price: -- -- | CONSENSUS: Hold DETAILS
STRONG
BUY
0
BUY 1
HOLD 3
SELL 0
STRONG
SELL
0
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999 1998 1997
Revenue
Revenue 3,166 3,159.6 3,232.6 2,772.7 2,596.2 3,723.7 3,443.2 3,055.5 3,032.4 3,060 3,059.7 2,988.9 2,868.7 2,749.5 2,437.1 2,291.7 3,183.7 3,420.8 3,097.4 2,868.9 2,613.8 2,345.6 2,586.9 3,089.5 3,885.8 3,316.1 2,742.5 2,760 2,408.4
Cost of Revenue 2,119.5 2,147.2 2,313.2 2,011.2 1,833.4 2,508.5 2,355.3 2,049.4 2,022 2,088.8 2,143.7 2,043.7 2,002.7 1,939.8 1,693.8 1,641.9 2,236.7 2,294.9 2,149.5 1,989.4 1,859.9 1,688 1,824 2,126.3 2,414.6 2,071.6 1,646.1 1,661.3 1,458.2
Gross Profit 1,046.5 1,012.4 919.4 761.5 762.8 1,215.2 1,087.9 1,006.1 1,010.4 971.2 916 945.2 866 809.7 743.3 649.8 947 1,125.9 947.9 879.5 753.9 657.6 762.9 963.2 1,471.2 1,244.5 1,096.4 1,098.7 950.2
Operating Expenses
R&D Expenses 50.4 48.2 0 0 0 0 0 0 35.8 33 35.4 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
SG&A Expenses 878.1 0.6 806.3 711.7 0 0 0 0 0 0 738.4 0 0 708.3 661.2 648.4 842.9 874.7 831.8 758.1 722.3 677.6 754.9 893.2 1,002.3 830.9 672.2 686 630.4
Other Expenses (40.5) 845.8 3.8 0 684.2 958.2 904.3 850 11.9 16.3 0 757 806.7 4.3 0 0 23.9 0 0 (33.2) (8.2) (42.3) (16.5) (29.8) 2.7 141.8 107 95.3 93.4
Operating Expenses 888 894.6 853.9 741.4 684.2 958.2 904.3 850.1 809.3 790 768 757 806.7 708.3 661.2 648.4 866.8 923.1 831.8 724.9 714.1 635.3 738.4 863.4 1,005 972.7 779.2 781.3 723.8
Operating Income
Operating Income 158.1 117.8 65.5 20.1 43 257 183.6 156 200.2 174.6 144.9 165.9 59.3 97.1 51.5 (11.5) 1 202.8 113.7 82.5 18.2 (73.5) (53.2) 19.7 303.7 271.8 337.4 317.4 226.4
Interest Expense 25.7 25.9 28.4 25.7 27.1 27.3 37.5 17.5 17.2 17.6 17.7 17.8 17.8 25.6 19.3 18.2 17 16.9 0 0 0 0 0 0 0 0 0 0 0
Interest Income 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 5.8 23 0 0 0 0 0 0 0 0 0 0 0
Profitability
EBITDA 240.7 216.6 170 110.5 138.2 358.1 268.6 244.8 264.8 260.2 245.4 245.4 131 164 135.1 61.3 95.5 320.7 217.5 207.6 153.5 163.7 181.5 272.2 468.9 416.3 551.4 412.7 319.8
EBIT 159.9 133 78.7 27.3 53 272.5 187 179 204.5 194.5 185.5 185.4 72.7 107.6 70.7 (12.9) 8.2 228.3 116.1 88.2 23.4 22.3 24.5 99.8 306.4 274.5 444.4 317.4 226.4
Income Before Tax 134.2 107.1 51.6 1.6 25.9 245.2 163.9 161.5 196.3 174.8 137 147.2 54.9 82 51.4 (31.1) (8.8) 211.4 124.6 76.4 5 (92) (59.2) (1.3) 304.6 299.7 346.3 347.9 51.3
Income Tax Expense 13.5 26 16.3 (2.4) (0.2) 45.5 37.9 80.8 71.7 4.5 50.9 59.5 16.1 25.3 31 (17.5) 2.9 78.2 17.7 27.5 (6.7) (50.6) (22.2) (1.5) 110.9 115.5 124.9 130.9 23.6
Net Income 120.7 81.1 35.3 4 26.1 199.7 126 80.7 124.6 170.3 86.1 87.7 38.8 56.7 20.4 (13.6) (11.7) 133.2 106.9 48.9 12.7 (23.2) (266.1) 1 193.7 184.2 221.4 217 27.7
Per Share Data
EPS (Basic) 1.02 0.68 0.30 0.03 0.22 1.67 1.06 0.68 1.03 1.37 0.69 0.70 0.30 0.43 0.15 -0.10 -0.09 0.93 0.72 0.33 0.09 -0.16 -1.80 0.01 1.30 1.21 1.44 1.40 0.18
EPS (Diluted) 1.02 0.68 0.30 0.03 0.22 1.66 1.05 0.68 1.03 1.36 0.68 0.69 0.30 0.43 0.15 -0.10 -0.09 0.93 0.71 0.33 0.09 -0.16 -1.80 0.01 1.30 1.21 1.44 1.40 0.18
Shares Outstanding 114 114 112.8 113.8 114.9 117.3 119.1 119.2 120.7 124.3 124.4 126 127.4 129.6 132.9 132.9 134.4 143 148.5 148.2 141.1 145 147.8 147.1 149 152.2 153.8 155 153.9
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2009 2008 2004 2003 2002 2001 2000 1999 1998 1997
Current Assets
Cash & Cash Equivalents 346.3 318.6 90.4 200.9 489.8 541 261.3 283.1 197.1 181.9 117.6 213.9 262.2 128.9 69.4 25.3 73.7 67.5 103.1 174
Short-Term Investments 41.6 0 0 0 0 0 0 0 73.4 84.1 76 50.1 0 2.2 1.8 14.2 14.9 0 0 0
Net Receivables 323.1 338.3 373.3 382.1 270.3 372.4 390.3 300.3 307.6 322.7 280.3 421.4 413.7 414.3 561.7 873.6 781.6 489.3 539.2 475.1
Inventory 245.7 231 319.7 326.2 193.5 215 224.8 184.6 163.1 159.4 129.9 146.7 114.4 129.8 147.1 184.7 166.5 96.5 105.8 108
Other Current Assets 34.8 39.6 71.7 26 70.9 38.8 52.7 66.7 58.9 56.2 129.7 102.6 151.7 120.8 73.3 85.7 90.6 84.1 76.9 67.5
Total Current Assets 1,029 959.4 884 959.2 1,045.4 1,188.8 948.6 853.9 819.2 823.9 751.4 934.7 942 814.1 882 1,205.7 1,127.3 737.4 825 824.6
Non-Current Assets
Property, Plant & Equipment 469.3 521.5 574.8 602.6 636.2 664.2 455.5 435.1 408.1 411.6 433.3 478.4 713.8 774 896.8 933.8 939.1 739 671.2 644.7
Goodwill 273.5 274.8 276.8 242.8 218.1 233.6 240.8 138.2 106.7 106.4 181.1 216.7 0 0 0 0 0 0 0 0
Intangible Assets 77 94.6 111.2 85.5 90.4 102.9 119.3 45.6 16.8 13.7 29.6 48.9 298.3 306 540.2 405.1 422.6 99.6 66.3 69.5
Long-Term Investments 53.3 55.7 51.1 53.1 51.5 52.3 56.9 48.4 50.5 51 0 0 0 0 53.8 54.9 47.5 223.3 0 0
Other Non-Current Assets 261.5 214.9 187.6 196.6 199.1 199 185.6 202.6 211.1 190.4 74.1 284.4 283.9 346.4 528.5 517.2 471.6 606.5 444.7 383.3
Total Non-Current Assets 1,301.4 1,277.3 1,318.8 1,301.8 1,308.6 1,376.6 1,190.6 1,005.3 972.8 984.7 998.6 1,189.7 1,408.4 1,528.1 2,085.5 1,951.3 1,910.3 1,445.1 1,182.2 1,097.5
Total Assets 2,330.4 2,236.7 2,202.8 2,261 2,354 2,565.4 2,139.2 1,859.2 1,792 1,808.6 1,750 2,124.4 2,350.4 2,342.2 2,967.5 3,157 3,037.6 2,182.5 2,007.2 1,922.1
Current Liabilities
Account Payables 228.2 211.3 203.5 243.6 181.3 244.3 241.2 223.1 216.8 209.6 174.6 246.9 161.8 145.4 163.5 254.1 219.8 102.1 117.8 105.1
Short-Term Debt 0 0 35.7 5.1 4.7 2.9 4.1 2.8 2.8 2.5 4.9 8.2 34.4 30 160.1 209.7 209 0 0 0
Deferred Revenue 43 44.8 50.8 53.4 33.7 28.6 20 28.2 15.9 18.6 0 0 0 0 0 0 0 0 0 0
Other Current Liabilities 237 206 106.5 73.9 92.7 193.3 205.2 184.2 189.3 206.4 138.3 183.8 0 0 0 0 498.4 344.7 352.1 244.9
Total Current Liabilities 669.1 607.1 603.3 567.2 515 690.9 595.2 554.7 523.4 560.6 519.6 683 543.3 502.5 673.1 885.9 927.2 446.8 469.9 350
Non-Current Liabilities
Long-Term Debt 447.1 446.3 445.5 477.4 479.2 481.4 482.9 292.2 294.6 296.6 250.8 250.5 319.6 294.2 433.6 327.5 257.8 0 0 0
Deferred Tax Liabilities 0 0 8 10 0 0 0 0 (1.5) (3.8) 0 0 41.2 5.5 7.1 14.7 29.5 0 0 0
Other Non-Current Liabilities 148.6 157.6 157.9 182 199.8 208.7 214.5 198.8 207.5 217.6 246.8 280 241 290.4 298.2 292.4 260.9 235.7 204.9 192.1
Total Non-Current Liabilities 709.6 742.5 773.3 841.6 878.5 904.1 697.5 491.2 502.1 511.1 497.6 530.5 601.8 584.6 738.9 634.6 548.2 235.7 204.9 192.1
Total Liabilities 1,378.7 1,349.6 1,376.6 1,408.8 1,393.5 1,595 1,292.7 1,045.9 1,025.5 1,071.7 1,017.2 1,213.5 1,145.1 1,087.1 1,412 1,520.5 1,475.4 682.5 674.8 542.1
Stockholders' Equity
Common Stock 0 0 0 0 0 0 0 0 0 0 59.8 114.7 289.8 286.1 282.3 286.2 342.7 379.4 0 0
Retained Earnings 985.9 912.8 879.3 901.3 988 1,011.3 880.7 819 817.1 776.5 690.8 773.8 960.4 1,019.1 1,320.6 1,380.3 1,252.5 1,135.6 977.3 1,354.4
Accumulated Other Comprehensive Income (63.5) (66.9) (72.5) (50.6) (40) (69.3) (50.6) (10.3) (50.6) (39.6) (22.5) 17.4 (44.9) (50.1) (47.4) (30) (33) (30) (1,138.4) (1,101.8)
Total Stockholders' Equity 951.7 887.1 826.2 852.2 960.5 970.4 846.5 813.3 766.5 736.9 732.8 910.9 1,205.3 1,255.1 1,555.5 1,636.5 1,562.2 1,500 1,332.4 1,380
Total Liabilities & Equity 2,330.4 2,236.7 2,202.8 2,261 2,354 2,565.4 2,139.2 1,859.2 1,792 1,808.6 1,750 2,124.4 2,350.4 2,342.2 2,967.5 3,157 3,037.6 2,182.5 2,007.2 1,922.1
Debt Metrics
Total Debt 600.7 630 695.8 708.9 727.2 741.4 487 295 297.4 299.1 255.7 258.7 354 324.2 593.7 537.2 466.8 0 0 0
Net Debt 254.4 311.4 605.4 508 237.4 200.4 225.7 11.9 100.3 117.2 138.1 44.8 91.8 195.3 524.3 511.9 393.1 (67.5) (103.1) (174)
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2005 2004 2003 2002 2001 2000 1999 1998 1997
Operating Activities
Net Income 120.7 81.1 35.3 4 26.1 199.7 126 80.7 124.6 170.3 12.7 (23.2) (266.1) 1 193.7 184.2 221.4 217 27.7
Depreciation & Amortization 80.8 83.6 90 83.2 85.2 85.6 81.6 65.9 60.3 65.7 127.6 141.4 157 172.4 162.5 141.8 107 95.3 93.4
Stock-Based Compensation 24.5 26 21.8 16.1 20.9 16.7 17.7 19.1 19.8 21 0 0 0 0 0 0 0 0 0
Change in Working Capital (1.8) 121.4 (58.2) (171.7) (115) 66.2 (63.2) 34.8 (52.2) 9.7 (25.3) (18) (56.1) 68.4 (139) (21.8) (31.8) 9.3 (70.3)
Other Non-Cash Items (19) (3.4) 1.5 (20.1) 31.7 (19.5) (30.1) (26.4) (8.6) (12) 13.4 18.2 238.2 69.3 11.6 6 13.8 16.5 28.2
Operating Cash Flow 148.5 308.7 89.4 (102.6) 64.8 360.8 131.2 227 170.7 186.4 114.7 87.9 41.8 294.6 209.8 305.7 307.7 333.4 80.8
Investing Activities
Capital Expenditure (47.1) (47.1) (59.1) (60.5) (41.3) (73.4) (81.4) (87.9) (61.1) (93.4) (49.2) (43) (76.5) (123) (260.5) (188.8) (227.6) (126.4) (122)
Acquisitions 0 0 (105.3) (32.6) (3.8) 68.9 (226.2) (49.3) 1.9 11.1 (459.2) (2.7) (2.9) (214.6) (0.1) (209.6) 0 0 0
Purchases of Investments (48.4) 0 0 0 0 73.4 0 (52.1) (112.6) (105.7) 19.8 0 0 (9.5) (1.5) (5.9) 0 0 0
Sales/Maturities of Investments 0 0 0 0 0 2.2 0 125.6 126.6 95.1 407.8 0 0 0 179.3 39.6 4.4 0 0
Other Investing Activities 60.7 53.2 29.6 27.6 14.5 (66.6) 36 16.2 (3.2) 5.1 55.1 145 395.9 96.7 (137.2) (149.9) (66.8) (23.5) 46.6
Investing Cash Flow (34.8) 6.1 (134.8) (65.5) (30.6) 4.5 (271.6) (47.5) (48.4) (87.8) (25.7) 99.3 316.5 (250.4) (220) (514.6) (290) (149.9) (75.4)
Financing Activities
Net Debt Issuance 0 (32.2) (2.7) (2.6) 0 0 197.3 (2.7) (2.3) 16.3 (28.8) (22.9) (269.9) 49.5 81.9 323.4 0 0 0
Stock Repurchased (36.4) (4.2) (3.9) (55.2) (42.7) (8.7) (4.2) (33.8) (48.4) (56.4) 0 0 0 (4.4) (56.6) (36.7) (15) (43.5) 0
Dividends Paid (47.6) (47.6) (57.3) (62.6) (43.5) (69.1) (64.3) (61) (58.5) (57) (35.6) (35.5) (35.4) (57.5) (65.9) (67.3) (63.1) (210.9) (41.8)
Other Financing Activities 0 (1.9) 1 0.4 (1.6) (4.1) (6.5) 0 3.3 7 0 0 0 0 0 0 0 0 0
Financing Cash Flow (84) (85.9) (62.9) (120) (87.8) (81.9) 122.3 (97.5) (105.9) (90.1) (60.3) (56.8) (301.5) (11.9) (40.5) 219.4 (53.3) (254.4) (40.4)
Cash Position
Net Change in Cash 27.9 228.7 (109.8) (288.6) (51.5) 282.3 (20.8) 86 15.2 5.4 34.4 133.3 59.5 30.4 (48.4) 6.2 (53.3) (254.4) (40.4)
Cash at Beginning 325.9 97.2 207 495.6 547.1 264.8 285.6 197.1 181.9 176.5 182.2 128.9 69.4 39 73.7 67.5 103.1 174 209
Cash at End 353.8 325.9 97.2 207 495.6 547.1 264.8 283.1 197.1 181.9 216.6 262.2 128.9 69.4 25.3 73.7 49.8 (80.4) 168.6
Free Cash Flow 101.4 261.6 30.3 (163.1) 23.5 287.4 49.8 139.1 109.6 93 65.5 44.9 (34.7) 171.6 (50.7) 116.9 80.1 207 (41.2)
Key Metrics 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999 1998 1997
Income Statement
Revenue 3,166 3,159.6 3,232.6 2,772.7 2,596.2 3,723.7 3,443.2 3,055.5 3,032.4 3,060 3,059.7 2,988.9 2,868.7 2,749.5 2,437.1 2,291.7 3,183.7 3,420.8 3,097.4 2,868.9 2,613.8 2,345.6 2,586.9 3,089.5 3,885.8 3,316.1 2,742.5 2,760 2,408.4
Gross Profit 1,046.5 1,012.4 919.4 761.5 762.8 1,215.2 1,087.9 1,006.1 1,010.4 971.2 916 945.2 866 809.7 743.3 649.8 947 1,125.9 947.9 879.5 753.9 657.6 762.9 963.2 1,471.2 1,244.5 1,096.4 1,098.7 950.2
Operating Income 158.1 117.8 65.5 20.1 43 257 183.6 156 200.2 174.6 144.9 165.9 59.3 97.1 51.5 (11.5) 1 202.8 113.7 82.5 18.2 (73.5) (53.2) 19.7 303.7 271.8 337.4 317.4 226.4
Net Income 120.7 81.1 35.3 4 26.1 199.7 126 80.7 124.6 170.3 86.1 87.7 38.8 56.7 20.4 (13.6) (11.7) 133.2 106.9 48.9 12.7 (23.2) (266.1) 1 193.7 184.2 221.4 217 27.7
EPS (Diluted) 1.02 0.68 0.30 0.03 0.22 1.66 1.05 0.68 1.03 1.36 0.68 0.69 0.30 0.43 0.15 -0.10 -0.09 0.93 0.71 0.33 0.09 -0.16 -1.80 0.01 1.30 1.21 1.44 1.40 0.18
Balance Sheet
Cash & Equivalents 346.3 318.6 90.4 200.9 489.8 541 261.3 283.1 197.1 181.9 117.6 213.9 262.2 128.9 69.4 25.3 73.7 67.5 103.1 174
Total Assets 2,330.4 2,236.7 2,202.8 2,261 2,354 2,565.4 2,139.2 1,859.2 1,792 1,808.6 1,750 2,124.4 2,350.4 2,342.2 2,967.5 3,157 3,037.6 2,182.5 2,007.2 1,922.1
Total Debt 600.7 630 695.8 708.9 727.2 741.4 487 295 297.4 299.1 255.7 258.7 354 324.2 593.7 537.2 466.8 0 0 0
Stockholders' Equity 951.7 887.1 826.2 852.2 960.5 970.4 846.5 813.3 766.5 736.9 732.8 910.9 1,205.3 1,255.1 1,555.5 1,636.5 1,562.2 1,500 1,332.4 1,380
Cash Flow
Operating Cash Flow 148.5 308.7 89.4 (102.6) 64.8 360.8 131.2 227 170.7 186.4 114.7 87.9 41.8 294.6 209.8 305.7 307.7 333.4 80.8
Capital Expenditure (47.1) (47.1) (59.1) (60.5) (41.3) (73.4) (81.4) (87.9) (61.1) (93.4) (49.2) (43) (76.5) (123) (260.5) (188.8) (227.6) (126.4) (122)
Free Cash Flow 101.4 261.6 30.3 (163.1) 23.5 287.4 49.8 139.1 109.6 93 65.5 44.9 (34.7) 171.6 (50.7) 116.9 80.1 207 (41.2)