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Karat Packaging KRT

US equityMarket cap rank #3199
$53.38 −$0.31 (-0.58%)
Pre-market · Oct 8, 9:00 am ET · After hours $53.38 0.00%
Open$53.31
Prev close$53.69
Day range$52.11 – $53.67
Volume215.3K
Market cap$1.06B
P/E (TTM)21.4
Dividend yield3.37%

Earnings

Average move on report day±8.4%last 16 reports
Closed higher6 of 1638% of the time
Best reaction+20.7%
Worst reaction-14.8%

Stock move on the day after each report

-14.2%2023/Q3-10.3%2023/Q4-7.7%2024/Q1-14.8%2024/Q2+0.9%2024/Q3-2.1%2024/Q4+10.7%2025/Q1-6.3%2025/Q2-6.3%2025/Q3+20.7%2025/Q4-7.7%2026/Q1+11.1%2026/Q2
QuarterReport dateTimingImplied moveActual moveVersus implied
2026/Q26 Aug 2026After Market–+11.14%–
2026/Q17 May 2026After Market–-7.69%–
2025/Q412 Mar 2026After Market–+20.66%–
2025/Q36 Nov 2025After Market–-6.27%–
2025/Q27 Aug 2025After Market–-6.28%–
2025/Q18 May 2025After Market–+10.68%–
2024/Q413 Mar 2025After Market–-2.11%–
2024/Q37 Nov 2024After Market–+0.92%–
2024/Q28 Aug 2024After Market–-14.83%–
2024/Q19 May 2024After Market–-7.71%–
2023/Q414 Mar 2024After Market–-10.31%–
2023/Q39 Nov 2023After Market–-14.21%–
2023/Q29 Aug 2023After Market–+3.04%–
2023/Q110 May 2023After Market–+4.15%–
2022/Q416 Mar 2023After Market–-4.12%–
2022/Q310 Nov 2022After Market–-10.86%–

"Implied move" is the size of move the options market was pricing ahead of the report. Move is the stock’s change on the first session after the release.

Latest reported quarter: Q2, ended Jun 2026

Revenue$136.30M+9.9% YoY
Operating profit$37.66M+131.5% YoY
Net profit$29.65M+168.3% YoY
Diluted EPS$1.46+170.4% YoY
Free cash flow$31.78M+231.6% YoY
Operating cash flow$33.15M

Revenue, last 8 quarters

$112.8MSep '24$101.6MDec '24$103.6MMar '25$124.0MJun '25$124.5MSep '25$115.6MDec '25$116.9MMar '26$136.3MJun '26

Net profit, last 8 quarters

$9.3MSep '24$5.9MDec '24$6.8MMar '25$11.1MJun '25$7.6MSep '25$7.2MDec '25$7.1MMar '26$29.6MJun '26

Profitability & balance sheet

Gross margin40.7%
Operating margin12.8%
Net margin10.2%
Return on equity30.7%
Return on assets15.7%
Return on invested capital22.7%
Current ratio2.25
Liabilities / assets100.0%
Cash & investments$54.14M
Total debt$25.84M
Net cash (debt)$28.30M
Free cash flow / sales10.4%

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