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St. Joe Company
JOE
Property, plant, and equipment additions
Property, plant, and equipment additions at other companies
Travel + Leisure
TNL
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Segments
By segment
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Residential Real Estate
$14.78M
-43.8%
Commercial
$7.07M
+27.3%
Hospitality
$986K
-77.6%
Other financials
Income statement
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Revenue
$158.8M
+23.0%
Gross profit
$73.4M
+32.6%
Operating income
$54.8M
+48.2%
Net income
$40.5M
+37.1%
EPS (diluted)
$0.71
+39.2%
Balance sheet
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Cash & equivalents
$117.3M
+33.1%
Total debt
$2.2M
-43.7%
Total equity
$764.5M
+3.5%
Total assets
$1.5B
-2.6%
Cash flow
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Operating cash flow
$43.9M
+41.4%
CapEx
$977.0K
-27.8%
Free cash flow
$43.0M
+44.6%
Valuation
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Market cap
$3.84B
+31.7%
Enterprise value
$3.72B
+31.5%
P/E
31.2×
-4.0×
P/S
7×
+0.2×
Profitability
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Gross margin
44.1%
+3.2pp
Operating margin
30.2%
+6.5pp
Net margin
22.5%
+3.1pp
FCF margin
38.7%
+12.7pp
Returns & leverage
See full
Return on equity
16.4%
+4.9pp
Debt / equity
0×
0.0×
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