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Trade Xpel - XPEL CFD

65.94
1.24%
  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
  • Ownership
Trading Conditions
Spread 0.23
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* 66.77
Open* 66.77
1-Year Change* 1.37%
Day's Range* 65.78 - 65.78
52 wk Range 39.8-87.01
Average Volume (10 days) 0.1399
Average Volume (3 months) 3.42272
Market Cap 1819.62
P/E Ratio 46.3851
Shares Outstanding 27616100
Revenue 315.644
EPS 1.4205
Dividend (Yield %) N/A
Beta 1.47978
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
Nov 29, 2022 65.94 -0.92 -1.38% 66.86 67.67 65.55
Nov 28, 2022 66.77 -0.34 -0.51% 67.11 68.54 66.70
Nov 25, 2022 68.49 0.71 1.05% 67.78 68.95 66.80
Nov 23, 2022 67.56 2.60 4.00% 64.96 70.18 64.95
Nov 22, 2022 65.77 1.39 2.16% 64.38 65.85 63.34
Nov 21, 2022 64.29 2.33 3.76% 61.96 64.69 61.45
Nov 18, 2022 63.16 0.53 0.85% 62.63 64.98 62.63
Nov 17, 2022 63.76 0.71 1.13% 63.05 63.76 61.57
Nov 16, 2022 64.17 0.34 0.53% 63.83 64.97 62.95
Nov 15, 2022 65.71 -0.14 -0.21% 65.85 68.35 65.46
Nov 14, 2022 65.32 0.82 1.27% 64.50 66.87 61.96
Nov 11, 2022 64.59 0.68 1.06% 63.91 65.02 61.45
Nov 10, 2022 64.88 2.43 3.89% 62.45 65.45 60.98
Nov 9, 2022 61.79 -7.15 -10.37% 68.94 69.94 60.03
Nov 8, 2022 61.98 -0.49 -0.78% 62.47 62.95 60.95
Nov 7, 2022 62.44 -2.02 -3.13% 64.46 64.47 61.95
Nov 4, 2022 64.20 -2.99 -4.45% 67.19 67.90 63.45
Nov 3, 2022 66.18 1.51 2.33% 64.67 67.73 64.48
Nov 2, 2022 66.06 -3.00 -4.34% 69.06 70.08 65.95
Nov 1, 2022 69.69 -0.19 -0.27% 69.88 70.28 68.75

Xpel Events

Time (UTC) Country Event
No events scheduled
View all events
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Total revenue 51.7593 67.297 109.921 129.933 158.924 259.263
Revenue 51.7593 67.297 109.921 129.933 158.924 259.263
Cost of Revenue, Total 37.7448 50.6132 76.484 86.4266 104.899 166.586
Gross Profit 14.0144 16.6838 33.4366 43.5063 54.025 92.677
Total Operating Expense 48.5067 65.0855 98.0889 112.846 135.555 219.147
Selling/General/Admin. Expenses, Total 10.7619 14.4723 21.6049 26.3884 30.6551 52.5614
Operating Income 3.25255 2.2115 11.8317 17.0874 23.3699 40.1156
Interest Income (Expense), Net Non-Operating -0.21811 -0.0762 -0.3247 -0.13692 -0.56557 -0.67564
Gain (Loss) on Sale of Assets -0.00487 0.01325 -0.02573
Net Income Before Taxes 3.02958 2.14855 11.4813 16.9504 22.8044 39.44
Net Income After Taxes 2.1635 0.99433 8.72123 13.9951 18.2817 31.5669
Minority Interest 0.052 0.053 -0.0087 -0.01745 0 0
Net Income Before Extra. Items 2.2155 1.04733 8.71253 13.9776 18.2817 31.5669
Net Income 2.2155 1.04733 8.71253 13.9776 18.2817 31.5669
Income Available to Common Excl. Extra. Items 2.2155 1.04733 8.71253 13.9776 18.2817 31.5669
Income Available to Common Incl. Extra. Items 2.2155 1.04733 8.71253 13.9776 18.2817 31.5669
Diluted Net Income 2.2155 1.04733 8.71253 13.9776 18.2817 31.5669
Diluted Weighted Average Shares 25.785 27.3263 27.6126 27.6126 27.6126 27.6127
Diluted EPS Excluding Extraordinary Items 0.08592 0.03833 0.31553 0.5062 0.66208 1.1432
Diluted Normalized EPS 0.08606 0.0381 0.31624 0.50712 0.66208 1.1432
Unusual Expense (Income) 0.03048
Q1 2021 Q2 2021 Q3 2021 Q4 2021 Q1 2022
Total revenue 51.8661 68.736 68.5289 70.1321 71.8638
Revenue 51.8661 68.736 68.5289 70.1321 71.8638
Cost of Revenue, Total 33.5797 43.4887 44.0744 45.4433 44.1473
Gross Profit 18.2864 25.2472 24.4545 24.6888 27.7164
Total Operating Expense 43.319 56.0636 58.1617 61.6031 61.8279
Selling/General/Admin. Expenses, Total 9.73932 12.5749 14.0873 16.1599 17.6805
Operating Income 8.54711 12.6723 10.3673 8.52892 10.0359
Interest Income (Expense), Net Non-Operating -0.08833 0.01897 -0.19526 -0.41102 -0.22486
Net Income Before Taxes 8.45878 12.6913 10.172 8.11789 9.81107
Net Income After Taxes 6.84706 10.1855 8.33076 6.20349 7.80313
Net Income Before Extra. Items 6.84706 10.1855 8.33076 6.20349 7.80313
Net Income 6.84706 10.1855 8.33076 6.20349 7.80313
Income Available to Common Excl. Extra. Items 6.84706 10.1855 8.33076 6.20349 7.80313
Income Available to Common Incl. Extra. Items 6.84706 10.1855 8.33076 6.20349 7.80313
Diluted Net Income 6.84706 10.1855 8.33076 6.20349 7.80313
Diluted Weighted Average Shares 27.6126 27.6126 27.6131 27.6126 27.6126
Diluted EPS Excluding Extraordinary Items 0.24797 0.36887 0.3017 0.22466 0.28259
Dividends per Share - Common Stock Primary Issue 0 0 0 0
Diluted Normalized EPS 0.24797 0.36887 0.3017 0.22466 0.28259
Minority Interest 0
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Total Current Assets 14.9484 19.9096 21.0319 36.2807 62.7772 79.0283
Cash and Short Term Investments 1.86109 3.4989 3.97123 11.501 29.0271 9.64425
Cash & Equivalents 1.86109 3.4989 3.97123 11.501 29.0271 9.64425
Total Receivables, Net 4.82708 5.56921 5.55431 7.24723 9.94421 13.7762
Accounts Receivable - Trade, Net 4.75452 5.56921 5.55431 7.15408 9.94421 13.159
Total Inventory 7.80603 10.1516 10.7996 15.1412 22.3641 51.9362
Prepaid Expenses 0.45417 0.68989 0.70672 2.39134 1.44175 3.67166
Total Assets 21.795 29.0453 30.5429 51.6014 83.8398 161.015
Property/Plant/Equipment, Total - Net 1.35212 2.15323 3.38421 9.09376 10.6799 22.8077
Goodwill, Net 1.89195 2.49011 2.32279 2.40651 4.47222 25.6554
Intangibles, Net 3.46722 4.11437 3.80403 3.82046 5.42398 32.7328
Other Long Term Assets, Total 0.13536 0.37801 0.48647 0.79034
Total Current Liabilities 9.54288 13.7109 8.48284 11.7863 21.2003 36.2678
Payable/Accrued 5.85998 9.51965 6.29209
Notes Payable/Short Term Debt 2.5 2 0 0 0 0
Current Port. of LT Debt/Capital Leases 1.01421 1.06443 0.85315 0.46223 2.56817 0.37541
Other Current Liabilities, Total 0.16869 1.12687 1.3376 1.38905 1.72729 4.3545
Total Liabilities 11.4464 15.0844 9.73991 16.5396 30.457 76.5524
Total Long Term Debt 1.43443 1.01849 0.96824 0.30728 3.56819 25.0757
Long Term Debt 1.43443 1.01849 0.96824 0.30728 3.56819 25.0757
Deferred Income Tax 0.52427 0.46314 0.47886 0.60472 0.62781 2.74828
Minority Interest -0.05518 -0.10818 -0.19003 -0.16868 0
Total Equity 10.3486 13.9609 20.803 35.0619 53.3829 84.4621
Common Stock 6.63513 9.21065 0.02761 0.02761 0.02761 0.02761
Additional Paid-In Capital 2.16513 2.16513 11.3482 11.3482 10.4125 10.5815
Retained Earnings (Accumulated Deficit) 2.38209 3.56943 10.6173 24.5949 42.8766 74.4434
Other Equity, Total -0.83373 -0.98428 -1.19006 -0.90876 0.06622 -0.59045
Total Liabilities & Shareholders’ Equity 21.795 29.0453 30.5429 51.6014 83.8398 161.015
Total Common Shares Outstanding 25.785 27.6126 27.6126 27.6126 27.6126 27.6126
Property/Plant/Equipment, Total - Gross 12.3563 15.1814 29.0389
Accumulated Depreciation, Total -3.26255 -4.50148 -6.23119
Accounts Payable 7.44097 12.9875 25.1748
Accrued Expenses 2.49404 3.91739 6.3631
Other Liabilities, Total 4.00995 5.06062 12.4606
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Total Current Assets 72.5493 50.2954 65.9942 79.0283 104.011
Cash and Short Term Investments 35.6155 8.7339 7.81633 9.64425 10.5956
Cash & Equivalents 35.6155 8.7339 7.81633 9.64425 10.5956
Total Receivables, Net 9.90324 12.6257 15.164 13.7762 15.1786
Accounts Receivable - Trade, Net 9.90324 12.6257 14.3247 13.159 15.1786
Total Inventory 24.9093 25.7283 39.5543 51.9362 74.4868
Prepaid Expenses 2.12133 3.2075 3.45964 3.67166 3.74969
Total Assets 95.3391 105.373 124.403 161.015 188.261
Property/Plant/Equipment, Total - Net 12.5046 16.8711 20.4486 22.8077 25.8076
Property/Plant/Equipment, Total - Gross 17.3601 22.1626 26.068 29.0389 32.5883
Accumulated Depreciation, Total -4.85549 -5.29147 -5.61941 -6.23119 -6.78074
Goodwill, Net 4.50942 15.8267 15.7471 25.6554 25.6141
Intangibles, Net 5.28781 21.9021 21.5757 32.7328 31.9775
Other Long Term Assets, Total 0.48798 0.47792 0.63766 0.79034 0.85143
Total Current Liabilities 26.1094 24.9995 34.9873 36.2678 47.0979
Accounts Payable 16.1517 17.7727 27.0078 25.1748 36.1778
Accrued Expenses 3.4112 3.42925 5.65882 6.3631 5.79601
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 2.51439 0.51389 0.42461 0.37541 0.35167
Other Current Liabilities, Total 4.03211 3.28367 1.89604 4.3545 4.77244
Total Liabilities 35.3193 34.9408 45.9965 76.5524 96.0209
Total Long Term Debt 2.91706 0.23906 0.15476 25.0757 33
Long Term Debt 2.91706 0.23906 0.15476 25.0757 33
Deferred Income Tax 0.65721 0.64692 1.04943 2.74828 2.70264
Other Liabilities, Total 5.63568 9.05533 9.80504 12.4606 13.2203
Total Equity 60.0198 70.4324 78.4068 84.4621 92.2405
Common Stock 0.02761 0.02761 0.02761 0.02761 0.02761
Additional Paid-In Capital 10.4125 10.4125 10.4893 10.5815 10.6515
Retained Earnings (Accumulated Deficit) 49.7236 59.9092 68.2399 74.4434 82.2466
Other Equity, Total -0.14392 0.08309 -0.35002 -0.59045 -0.68524
Total Liabilities & Shareholders’ Equity 95.3391 105.373 124.403 161.015 188.261
Total Common Shares Outstanding 27.6126 27.6126 27.6126 27.6126 27.6126
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Net income/Starting Line 2.1635 0.99433 8.72123 13.9951 18.2817 31.5669
Cash From Operating Activities 2.93028 3.01746 6.79679 10.9655 18.466 18.2677
Cash From Operating Activities 0.29963 0.59471 0.73598 0.91592 1.2741 1.88705
Amortization 0.8405 0.53733 0.6428 0.78111 0.95594 2.50062
Deferred Taxes -0.09785 -0.22187 -0.08622 0.11733 -0.2733 1.01128
Non-Cash Items 0.1674 0.3746 0.25938 0.35847 0.17556 0.45945
Cash Taxes Paid 0.685 0.45217 2.51473 4.07996 4.46126 7.76234
Cash Interest Paid 0.16371 0.24599 0.08642 0.01785 0.17839 0.21024
Changes in Working Capital -0.4429 0.73836 -3.47639 -5.20238 -1.94797 -19.1576
Cash From Investing Activities -2.18101 -2.32718 -3.09396 -2.30357 -4.66355 -56.8075
Capital Expenditures -1.36242 -1.70755 -2.4173 -2.2444 -2.15582 -7.68893
Other Investing Cash Flow Items, Total -0.81859 -0.61963 -0.67666 -0.05917 -2.50773 -49.1186
Cash From Financing Activities -1.65329 1.04179 -3.09818 -1.14324 3.51123 19.241
Financing Cash Flow Items 0 -0.03802 0 -0.78465 0
Issuance (Retirement) of Debt, Net -1.65329 -1.53372 -3.09818 -1.14324 4.29588 19.241
Foreign Exchange Effects -0.07544 -0.09425 -0.13233 0.01104 0.21247 -0.08404
Net Change in Cash -0.97946 1.63782 0.47232 7.52975 17.5261 -19.3829
Issuance (Retirement) of Stock, Net 2.61353 0
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Net income/Starting Line 6.84706 17.0326 25.3634 31.5669 7.80313
Cash From Operating Activities 8.92697 19.0732 20.1729 18.2677 -4.30948
Cash From Operating Activities 0.38309 0.8027 1.25849 1.88705 0.75634
Amortization 0.26261 0.68538 1.42035 2.50062 1.07647
Deferred Taxes 0.02366 0.0057 0.41794 1.01128 -0.03848
Non-Cash Items 0.10401 0.1248 0.32341 0.45945 0.12403
Cash Taxes Paid 1.3563 2.9391 6.66975 7.76234 0.7698
Cash Interest Paid 0.045 0.09209 0.11736 0.21024 0.21601
Changes in Working Capital 1.30655 0.42207 -8.61062 -19.1576 -14.031
Cash From Investing Activities -1.51919 -33.638 -35.6917 -56.8075 -2.59221
Capital Expenditures -1.51942 -3.66141 -5.7473 -7.68893 -2.63435
Other Investing Cash Flow Items, Total 0.00024 -29.9766 -29.9444 -49.1186 0.04214
Cash From Financing Activities -0.72324 -5.42293 -5.59362 19.241 7.89205
Financing Cash Flow Items 0 0 0 0
Issuance (Retirement) of Debt, Net -0.72324 -5.42293 -5.59362 19.241 7.89205
Foreign Exchange Effects -0.09619 -0.3055 -0.09843 -0.08404 -0.03905
Net Change in Cash 6.58835 -20.2932 -21.2108 -19.3829 0.95131

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Xpel Company profile

About Xpel Inc

Xpel Inc. manufactures, sells and installs after-market automotive products, including automotive surface and paint protection, headlight protection, and automotive window films. The Company’s products include architectural window film (both commercial and residential) and security film protection for commercial and residential uses, and also provides automotive ceramic coatings products. Its products also include ULTIMATE PLUS paint protection film (PPF), ULTIMATE PLUS BLACK PPF, ULTIMATE PLUS, STEALTH satin PPF, TRACWRAP temporary protection film, ARMOR protective film, RX 8 gloss protective film, RX 8 matte protective film, RX 10 gloss protective film, RX 10 matte protective film and PRIME automotive window. The Company also offers car care services, including anti-static glass cleaner, ceramic boost, detail spray, interior cleaner, iron remover, paint protection film (PPF) cleaner, PPF sealant, rinse-free car wash, water spot remover, cleaning & detailing, towels & microfibers.

Financial summary

BRIEF: For the fiscal year ended 31 December 2021, Xpel Inc revenues increased 63% to $259.3M. Net income increased 73% to $31.6M. Revenues reflect Paint protection film segment increase of 53% to $169.9M, Window film segment increase of 83% to $38.4M, United States segment increase of 78% to $133.5M, China segment increase of 41% to $46.3M. Basic Earnings per Share excluding Extraordinary Items increased from $0.66 to $1.14.

Industry: Auto, Truck & Motorcycle Parts (NEC)

3251 I-35
SAN ANTONIO
TEXAS 78219
US

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