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Trade Veritiv Corporation - VRTV CFD

106.46
3.18%
  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
  • Ownership
Trading Conditions
Spread 0.70
Long position overnight fee

Long position overnight fee


Margin. Your investment $1,000.00
Overnight fee -0.0308 %
Charges from borrowed part ($-1.23)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Go to platform
-0.0308%
Short position overnight fee

Short position overnight fee


Margin. Your investment $1,000.00
Overnight fee -0.0308 %
Charges from borrowed part ($-1.23)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Go to platform
-0.0137%
Overnight fee time 22:00 (UTC)
Min traded quantity 1
Currency USD
Margin 20%
Stock exchange United States of America
Commission on trade 0%

*Information provided by Capital.com

Key Stats
Prev. Close* 109.29
Open* 108.12
1-Year Change* 82.73%
Day's Range* 104.93 - 104.93
52 wk Range 85.57-161.1
Average Volume (10 days) 0.10856
Average Volume (3 months) 2.34621
Market Cap 1738.67
P/E Ratio 5.92051
Shares Outstanding 13483300
Revenue 7347.7
EPS 21.7802
Dividend (Yield %) 1.95425
Beta 2.14266
Next Earnings Date Feb 27, 2023

All data is provided by Refinitiv, except for data marked with an asterisk, which is *data provided by Capital.com

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Close Change Change (%) Open High Low
Jun 29, 2022 106.46 -2.41 -2.21% 108.87 109.40 104.84
Jun 28, 2022 109.29 -2.02 -1.81% 111.31 114.74 109.10
Jun 27, 2022 111.25 2.39 2.20% 108.86 113.19 108.35
Jun 24, 2022 108.72 2.80 2.64% 105.92 111.83 105.91
Jun 23, 2022 105.43 -4.41 -4.01% 109.84 109.93 102.70
Jun 22, 2022 110.10 0.10 0.09% 110.00 112.30 108.39
Jun 21, 2022 113.55 1.81 1.62% 111.74 115.28 110.75
Jun 17, 2022 111.49 -6.38 -5.41% 117.87 119.75 110.93
Jun 16, 2022 117.47 -5.89 -4.77% 123.36 124.08 116.60
Jun 15, 2022 127.75 -3.09 -2.36% 130.84 134.27 126.56
Jun 14, 2022 130.53 1.30 1.01% 129.23 132.19 126.95
Jun 13, 2022 130.23 -6.94 -5.06% 137.17 137.17 129.52
Jun 10, 2022 142.79 0.83 0.58% 141.96 147.49 141.96
Jun 9, 2022 148.11 -2.18 -1.45% 150.29 151.85 147.88
Jun 8, 2022 153.38 -3.17 -2.02% 156.55 156.88 152.43
Jun 7, 2022 158.10 6.17 4.06% 151.93 160.46 149.40
Jun 6, 2022 154.46 0.03 0.02% 154.43 155.43 151.11
Jun 3, 2022 154.26 -2.55 -1.63% 156.81 157.58 152.48
Jun 2, 2022 158.89 10.98 7.42% 147.91 159.05 147.09
Jun 1, 2022 147.08 2.08 1.43% 145.00 149.01 141.68

Veritiv Corporation Events

Time (UTC) Country Event
No events scheduled
View all events
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Total revenue 8326.6 8364.7 8696.2 7659.4 6345.6 6850.5
Revenue 8326.6 8364.7 8696.2 7659.4 6345.6 6850.5
Cost of Revenue, Total 6826.4 6846.6 7155.7 6206.2 5040.2 5417.9
Gross Profit 1500.2 1518.1 1540.5 1453.2 1305.4 1432.6
Total Operating Expense 8250.7 8346.6 8680.4 7638.5 6297.8 6640.5
Selling/General/Admin. Expenses, Total 1331.3 1391.7 1417.7 1332.5 1147.7 1152
Depreciation / Amortization 54.7 54.2 53.5 53.5 57.7 55.2
Unusual Expense (Income) 38.3 54.1 53.5 46.3 52.2 15.4
Operating Income 75.9 18.1 15.8 20.9 47.8 210
Interest Income (Expense), Net Non-Operating -27.5 -31.2 -42.3 -38.1 -25.1 -17.2
Other, Net -7.6 11.2 16.3 -11.6 20.3 4.7
Net Income Before Taxes 40.8 -1.9 -10.2 -28.8 43 197.5
Net Income After Taxes 21 16.9 15.8 -29.5 34.2 144.6
Net Income Before Extra. Items 21 16.9 15.8 -29.5 34.2 144.6
Total Extraordinary Items 0 -30.2 -31.5 0
Net Income 21 -13.3 -15.7 -29.5 34.2 144.6
Income Available to Common Excl. Extra. Items 21 16.9 15.8 -29.5 34.2 144.6
Income Available to Common Incl. Extra. Items 21 -13.3 -15.7 -29.5 34.2 144.6
Diluted Net Income 21 -13.3 -15.7 -29.5 34.2 144.6
Diluted Weighted Average Shares 16.15 15.7 15.82 16.06 16.48 16.05
Diluted EPS Excluding Extraordinary Items 1.30031 1.07643 0.99874 -1.83686 2.07524 9.00935
Dividends per Share - Common Stock Primary Issue 0
Diluted Normalized EPS 2.52094 3.31624 3.1969 0.03705 4.59449 9.71185
Q1 2021 Q2 2021 Q3 2021 Q4 2021 Q1 2022
Total revenue 1559.3 1658.6 1767.8 1864.8 1858.1
Revenue 1559.3 1658.6 1767.8 1864.8 1858.1
Cost of Revenue, Total 1238.1 1319 1402.1 1458.7 1455.4
Gross Profit 321.2 339.6 365.7 406.1 402.7
Total Operating Expense 1524.8 1620.3 1711 1784.4 1770.9
Selling/General/Admin. Expenses, Total 267.9 281.8 293.1 309.2 300.1
Depreciation / Amortization 14.5 14.3 13.3 13.1 12.7
Unusual Expense (Income) 4.3 5.2 2.5 3.4 2.7
Operating Income 34.5 38.3 56.8 80.4 87.2
Interest Income (Expense), Net Non-Operating -5.1 -4.5 -3.8 -3.8 -3.5
Other, Net 1 1.7 1.1 0.9 0.6
Net Income Before Taxes 30.4 35.5 54.1 77.5 84.3
Net Income After Taxes 21.3 26.4 40 56.9 78.5
Net Income Before Extra. Items 21.3 26.4 40 56.9 78.5
Net Income 21.3 26.4 40 56.9 78.5
Income Available to Common Excl. Extra. Items 21.3 26.4 40 56.9 78.5
Income Available to Common Incl. Extra. Items 21.3 26.4 40 56.9 78.5
Diluted Net Income 21.3 26.4 40 56.9 78.5
Diluted Weighted Average Shares 16.66 16.3 15.76 15.48 15.32
Diluted EPS Excluding Extraordinary Items 1.27851 1.61963 2.53807 3.67571 5.12402
Dividends per Share - Common Stock Primary Issue 0 0 0 0
Diluted Normalized EPS 1.45935 1.85687 2.65536 3.83697 5.28814
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Total Current Assets 1948.6 2114.1 2084.3 1630.6 1555 1677.7
Cash and Short Term Investments 69.6 80.3 64.3 38 120.6 49.3
Cash 69.6 80.3 64.3 38 120.6 49.3
Total Receivables, Net 1114.5 1238.7 1262.6 978.4 905.1 1082.4
Accounts Receivable - Trade, Net 1048.3 1174.3 1181.4 910.8 849.5 1011.2
Total Inventory 707.9 722.7 688.2 552.9 465.4 484.5
Prepaid Expenses 26.1 33.8 32 32.9 46.9 44.2
Other Current Assets, Total 30.5 38.6 37.2 28.4 17 17.3
Total Assets 2483.7 2708.4 2529.7 2511.1 2335 2438.4
Property/Plant/Equipment, Total - Net 371.8 340.2 206.7 646.1 546.4 538.5
Property/Plant/Equipment, Total - Gross 664.6 654.8 527.4 988.7 1298.2 1203.3
Accumulated Depreciation, Total -292.8 -314.6 -320.7 -342.6 -751.8 -664.8
Goodwill, Net 50.2 99.6 99.6 99.6 99.6 99.6
Intangibles, Net 21 64.1 57.2 52.2 47.4 42.7
Other Long Term Assets, Total 92.1 90.4 81.9 82.6 86.6 79.9
Total Current Liabilities 867.8 907.4 849.7 731.5 749.4 873.6
Accounts Payable 654.1 680.1 641.9 476.9 471.9 561.9
Accrued Expenses 186.9 208.1 191.2 237.7 262.8 295.7
Notes Payable/Short Term Debt 0 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 17.8 10.7 7.3 12.6 14.7 16
Other Current Liabilities, Total 9 8.5 9.3 4.3 0
Total Liabilities 1941.9 2158.7 1986.6 1974.9 1751.9 1802.6
Total Long Term Debt 928.4 1092 987.2 742.4 589.1 499.7
Long Term Debt 749.2 908.3 963.6 673.2 520.2 440.8
Capital Lease Obligations 179.2 183.7 23.6 69.2 68.9 58.9
Deferred Income Tax 21.6 23.7 21.6 21.1 19.7 19.3
Other Liabilities, Total 124.1 135.6 128.1 479.9 393.7 410
Total Equity 541.8 549.7 543.1 536.2 583.1 635.8
Redeemable Preferred Stock 0 0 0 0 0 0
Common Stock 0.2 0.2 0.2 0.2 0.2 0.2
Additional Paid-In Capital 574.5 590.2 605.7 618 634.9 633.8
Retained Earnings (Accumulated Deficit) 19.7 6.4 -8.5 -35.3 -1.4 143.2
Treasury Stock - Common -13.6 -13.6 -13.6 -13.6 -17.1 -117.1
Other Equity, Total -39 -33.5 -40.7 -33.1 -33.5 -24.3
Total Liabilities & Shareholders’ Equity 2483.7 2708.4 2529.7 2511.1 2335 2438.4
Total Common Shares Outstanding 15.7 15.7 15.9 16.1 15.9 14.6
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Total Current Assets 1574 1526.1 1612.5 1677.7 1805.2
Cash and Short Term Investments 109 34.7 43.4 49.3 33.8
Cash 109 34.7 43.4 49.3 33.8
Total Receivables, Net 853.3 882.8 958.2 1011.2 944.3
Accounts Receivable - Trade, Net 853.3 882.8 958.2 1011.2 944.3
Total Inventory 493.5 486.1 482.7 484.5 407.7
Other Current Assets, Total 118.2 122.5 128.2 132.7 419.4
Total Assets 2328.7 2267.9 2353 2438.4 2507.2
Property/Plant/Equipment, Total - Net 525.3 508.6 508.6 538.5 481.7
Property/Plant/Equipment, Total - Gross 491.9 494.5 420.9 761.4 418.3
Accumulated Depreciation, Total -382.4 -392 -323.6 -664.8 -313.9
Goodwill, Net 99.6 99.6 99.6 99.6 96.3
Intangibles, Net 46.3 45.1 43.9 42.7 38.9
Other Long Term Assets, Total 83.5 88.5 88.4 79.9 85.1
Total Current Liabilities 746.6 770.6 843.9 873.6 921
Accounts Payable 513.4 522.7 564.7 561.9 512.4
Accrued Expenses 218.3 232.6 263.7 295.7 220.7
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 14.9 15.3 15.5 16 15
Total Liabilities 1751.3 1688.3 1786 1802.6 1827.4
Total Long Term Debt 600.7 520.4 533.6 499.7 511.5
Long Term Debt 534.5 457 473.4 440.8 485.4
Capital Lease Obligations 66.2 63.4 60.2 58.9 26.1
Other Liabilities, Total 404 397.3 408.5 429.3 394.9
Total Equity 577.4 579.6 567 635.8 679.8
Redeemable Preferred Stock 0 0 0 0 0
Common Stock 0.2 0.2 0.2 0.2 0.2
Additional Paid-In Capital 632.8 631.3 632.2 633.8 607.1
Retained Earnings (Accumulated Deficit) 19.9 46.3 86.3 143.2 221.7
Treasury Stock - Common -41.7 -67.5 -117.1 -117.1 -127.5
Other Equity, Total -33.8 -30.7 -34.6 -24.3 -21.7
Total Liabilities & Shareholders’ Equity 2328.7 2267.9 2353 2438.4 2507.2
Total Common Shares Outstanding 15.5 15.3 14.6 14.6 15
Other Current Liabilities, Total 172.9
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Net income/Starting Line 21 -13.3 -15.7 -29.5 34.2 144.6
Cash From Operating Activities 140.2 36.6 15 281 289.2 154.7
Cash From Operating Activities 54.7 54.2 53.5 53.5 57.7 55.2
Deferred Taxes 11.1 1.9 2 -2.7 -1.8 9.2
Non-Cash Items 26.7 8.1 21.4 44.6 12.1 14.7
Cash Taxes Paid 11.6 3.7 2.4 4.8 7.8 40.1
Cash Interest Paid 20.6 27.6 38.9 34.7 22 15
Changes in Working Capital 26.7 -14.3 -46.2 215.1 187 -69
Cash From Investing Activities -34.4 -126.2 -21.7 -33.6 -5.3 -4.3
Capital Expenditures -41 -32.5 -45.4 -34.1 -23.6 -20.4
Other Investing Cash Flow Items, Total 6.6 -93.7 23.7 0.5 18.3 16.1
Cash From Financing Activities -89.9 99.2 -8.7 -273.9 -202.6 -221.4
Financing Cash Flow Items -2 -8.5 -14.5 -30.5 -16.3 -2.5
Issuance (Retirement) of Stock, Net -13.6 0 0 -3.5 -108.5
Issuance (Retirement) of Debt, Net -74.3 107.7 5.8 -243.4 -182.8 -110.4
Foreign Exchange Effects -0.7 1.1 -0.6 0.2 1.3 -0.3
Net Change in Cash 15.2 10.7 -16 -26.3 82.6 -71.3
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Net income/Starting Line 21.3 47.7 87.7 144.6 78.5
Cash From Operating Activities 13.2 50.1 91.6 154.7 -15.8
Cash From Operating Activities 14.5 28.8 42.1 55.2 12.7
Deferred Taxes 3.1 1.3 -0.3 9.2 -12.7
Non-Cash Items 1 1.3 3.6 14.7 -9.1
Cash Taxes Paid 11.2 26 37.2 40.1 15.1
Cash Interest Paid 4.6 8.6 11.9 15 2.9
Changes in Working Capital -26.7 -29 -41.5 -69 -85.2
Cash From Investing Activities 1.7 2.2 1.7 -4.3 -7.1
Capital Expenditures -6.3 -9.1 -14.1 -20.4 -9.4
Other Investing Cash Flow Items, Total 8 11.3 15.8 16.1 2.3
Cash From Financing Activities -26.1 -138.2 -170.1 -221.4 7.4
Financing Cash Flow Items -2.9 -10.9 -11.5 -2.5 0.2
Issuance (Retirement) of Stock, Net -24.6 -50.4 -100 -108.5 -39.9
Issuance (Retirement) of Debt, Net 1.4 -76.9 -58.6 -110.4 47.1
Foreign Exchange Effects -0.4 0 -0.4 -0.3 0
Net Change in Cash -11.6 -85.9 -77.2 -71.3 -15.5

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Veritiv Corporation Company profile

About Veritiv Corp

Veritiv Corporation is a business-to-business provider of packaging products and services, as well as facility solutions, print, and publishing products and services. The Company operates through four segments: Packaging, Facility Solutions, Print, and Publishing and Print Management (Publishing). The Packaging segment provides custom and standard packaging solutions for customers based in North America and in global markets. The Facility Solutions segment sources and sells cleaning, breakroom and other supplies, such as towels, tissues, commercial cleaning chemicals, personal protective equipment and safety supplies, amenities and many others primarily in North America. The Print segment sells and distributes commercial printing, writing, copying, digital, specialty products, graphics consumables and graphics equipment primarily in North America. The Publishing segment sells and distributes coated and uncoated commercial printing papers to publishers, retailers and many others.

Financial summary

BRIEF: For the fiscal year ended 31 December 2021, Veritiv Corp revenues increased 8% to $6.85B. Net income increased from $34.2M to $144.6M. Revenues reflect Packaging segment increase of 13% to $3.76B, United States (Country) segment increase of 7% to $5.92B, Canada (Country) segment increase of 11% to $722.3M. Net income benefited from Restructuring charges decrease of 70% to $15.4M (expense), Distribution expenses decrease of 2% to $419.3M (expense).

Industry: Container & Packaging Material Wholesale

1000 Abernathy Rd Bldg 400 Ste 1700
ATLANTA
GEORGIA 30328-5658
US

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