Photronics Inc. Stock
Price
Target price
€25.42
€25.42
2.460%
0.61
2.460%
€33.91
18:18 / Tradegate
WKN: 879430 / Symbol: PLAB / Name: Photronics / Stock / Semiconductors & Semiconductor Equipment / Small Cap /
Please give a prediction to see the opinions of the community
sharewise uses Wisdom of crowds to gather information regarding a security. Wisdom of crowds works best if you do not see the predictions of others before giving your estimate. Please click one button to see how the community sees this security.
Your prediction
Photronics Inc. Stock
Photronics Inc. gained 2.460% today.
Photronics Inc. is currently one of the favorites of our community with 6 Buy predictions and no Sell predictions.
With a target price of 33 € there is a positive potential of 29.82% for Photronics Inc. compared to the current price of 25.42 €.
Pros and Cons of Photronics Inc. in the next few years
Pros
?
C******** o* t** e**********
?
G***** c******* t* c**********
?
M***** P*******
Cons
?
B****
?
S********** s********
?
W********* I********* f** t** n*** y****
Tell us your opinion to access the 'Wisdom of the Crowds'
Performance of Photronics Inc. vs. its peers
| Security | Change(%) | 1w | 1m | 1y | YTD | 3y | 5y |
|---|---|---|---|---|---|---|---|
| Photronics Inc. | 2.460% | -10.401% | -45.532% | 52.255% | -11.771% | 16.534% | - |
| Cohu Inc. | 4.080% | -2.294% | 12.414% | 181.369% | 136.350% | 29.863% | 59.696% |
| Formfactor Inc. | 5.780% | -7.682% | -20.008% | 223.710% | 105.635% | 239.020% | 263.587% |
| Axcelis Technologies | 6.880% | -0.401% | -1.372% | 120.384% | 96.136% | -14.975% | 303.994% |

sharewise BeanCounterBot
The analysis provided is generated by an artificial intelligence system and is provided for informational purposes only. We do not guarantee the accuracy, completeness, or usefulness of the analysis, and we are not responsible for any errors or omissions. Use of the analysis is at your own risk.
Last updated at 2025-09-10
1. Executive Summary
- Current Financial Position: PHOTRONICS INC (PLAB) reported revenue of $210,984,000 and net income of $34,388,000 for the quarter ending August 3, 2025.
- Key Findings:
- Revenue remained relatively stable compared to the same quarter last year ($210,984,000 in Q3 2025 vs. $210,984,000 in Q3 2024).
- Net income decreased by 33.5% compared to the same quarter last year ($34,388,000 in Q3 2025 vs. $22,891,000 in Q3 2024, using the most recent and prior year data for comparison).
- The company maintains a strong cash position with $479,521,000 in cash and cash equivalents as of August 3, 2025.
- Overall Financial Trend: The financial trend is mixed, showing stability in revenue but a decline in net income.
2. Profitability Analysis
- Revenue and Profit Trends:
- Revenue: $210,984,000 (Q3 2025) vs. $210,984,000 (Q3 2024), showing stability.
- Net Income: $34,388,000 (Q3 2024) vs. $22,891,000 (Q3 2025), representing a 33.5% decrease.
- Profit Margins:
- Gross Profit Margin: 35.6% (Q3 2025) vs. 35.6% (Q3 2024), remaining stable.
- Operating Income Margin: 22.8% (Q3 2025) vs. 24.7% (Q3 2024), showing a slight decrease.
- Operating Efficiency and Cost Structure:
- Cost of Goods Sold (COGS) increased slightly as a percentage of revenue, from 64.4% to 66.1%, indicating a minor decrease in operational efficiency.
- Selling, General, and Administrative (SG&A) expenses decreased from $19,436,000 to $18,423,000, showing some cost control.
3. Balance Sheet Strength
- Assets, Liabilities, and Equity:
- Total Assets: $1,752,765,000 (Q3 2025) vs. $1,712,059,000 (Q4 2024), showing a 2.4% increase.
- Total Liabilities: $214,765,000 (Q3 2025) vs. $231,300,000 (Q4 2024), indicating a decrease in liabilities.
- Stockholders' Equity: $1,538,000,000 (Q3 2025) vs. $1,480,759,000 (Q4 2024), showing a 3.9% increase.
- Liquidity and Solvency:
- Cash and Cash Equivalents: $479,521,000 (Q3 2025) vs. $598,485,000 (Q4 2024), showing a decrease.
- Current Ratio: 5.0 (Q3 2025) vs. 5.1 (Q4 2024), indicating strong liquidity.
4. Cash Flow Assessment
- Cash Flows:
- Operating Cash Flow: $159,974,000 (Q3 2025) vs. $193,074,000 (Q3 2024), showing a decrease.
- Investing Cash Flow: -$173,599,000 (Q3 2025) vs. -$142,058,000 (Q3 2024), indicating increased investment activities.
- Financing Cash Flow: -$115,284,000 (Q3 2025) vs. -$6,428,000 (Q3 2024), primarily due to share repurchases.
- Cash Generation and Sustainability:
- The company generated significant cash from operations but saw a decrease compared to the previous year.
- Cash and cash equivalents decreased, but the company still maintains a strong cash position.
5. Growth and Investment
- Capital Expenditures and R&D:
- Capital Expenditures: $120,588,000 (Q3 2025) vs. $87,733,000 (Q3 2024), showing an increase in investment.
- R&D Expenses: $4,271,000 (Q3 2025) vs. $3,555,000 (Q3 2024), indicating increased investment in research and development.
- Growth Trajectory:
- Revenue stability indicates a steady growth trajectory.
- Increased investment in capital expenditures and R&D suggests potential for future growth.
6. Risk Factors
- Financial Risks:
- Decrease in net income and operating cash flow.
- Increased capital expenditures and negative investing cash flow.
- Share repurchases impacting financing cash flow.
- Concerning Trends:
- Decline in net income despite stable revenue.
- Decrease in cash and cash equivalents.
7. Valuation Context
- Valuation Metrics:
- P/E Ratio: Using the diluted EPS of $0.39 for Q3 2025 and a stock price of $19.06, the P/E ratio is approximately 48.9.
- P/S Ratio: With revenue per share (using diluted shares) of approximately $3.63 and a stock price of $19.06, the P/S ratio is about 5.25.
- Historical Comparison:
- The current P/E is higher than historical averages, indicating potentially higher expectations for future growth.
- The P/S ratio is relatively stable compared to historical trends.
8. Key Considerations
- Key Factors for Investors:
- Stability in revenue with a decline in net income, indicating potential operational challenges.
- Strong cash position and liquidity, providing financial flexibility.
- Increased investment in capital expenditures and R&D, suggesting potential for future growth.
- Potential Strengths and Challenges:
- Strengths: Strong cash position, stable revenue.
- Challenges: Declining net income, significant share repurchases.
- Trends and Anomalies:
- Decrease in net income despite stable revenue.
- Significant cash outflows for share repurchases and capital expenditures.
Comments
Photronics (PLAB) had its "buy" rating reaffirmed by Craig Hallum.
Show more
Ratings data for PLAB provided by MarketBeat
Photronics (PLAB) is now covered by Lake Street Capital. They set a "buy" rating and a $46.00 price target on the stock.
Show more
Ratings data for PLAB provided by MarketBeat
Photronics (PLAB) had its "buy" rating reaffirmed by Craig Hallum.
Show more
Ratings data for PLAB provided by MarketBeat
News
Why Photronics Stock Collapsed 37% This Week
Shares of Photronics (NASDAQ: PLAB) collapsed 37.5% this week, according to data from S&P Global Market Intelligence. The photomask maker for advanced chipmaking slipped after reporting
Why Photronics Stock Is Plummeting Today
Photronics (NASDAQ: PLAB) stock is getting hammered in Thursday's trading. The photomasks specialist's price was down 33.2% as of 11 a.m. ET and had been off as much as 35.2% earlier in the session
Photronics Q2 Earnings Call Highlights
Key Points
- Interested in Photronics, Inc.? Here are five stocks we like better.
- Photronics’ fiscal Q2 revenue was essentially flat at $210 million as a 13% jump in flat panel display photomask


