Quality Investor

SCVL

Rank #171

Rank #171 by gross profitability (GP/assets 0.36) · ROE 7.8% · Piotroski F-Score N/A.

As-of 2026-07-22 · CIK 0000895447 · all metrics point-in-time as of the filing date.

Financials

Weakening

Direction over 5 fiscal years

  • Free cash flowdeteriorating
  • Gross marginstable
  • Gross profitabilitydeteriorating
  • Net cashimproving
  • Operating margindeteriorating
  • Return on equitydeteriorating
  • Share count (dilution)deteriorating

Red flags: fcf_ni_divergence_unfavorable

Monitoring diagnostic of business direction — not a prediction of returns.

Each fiscal year is read as-of that year’s own 10-K filing, so nothing restated after the fact leaks backwards. Line items this filer never tagged are omitted. Hover or tap a badge for the diagnostic behind it.

USD in millions, except per-share (EPS) and percentage rows. Values are as originally filed; em-dash = not tagged in that year's filing.
Fiscal year end2026-01-31filed 2026-03-262025-02-01filed 2025-03-212024-02-03filed 2024-03-222023-01-28filed 2023-03-24
Income statement
Revenue1,135.31,202.91,175.91,262.2
Revenue growth (YoY)-5.6%2.3%-6.8%-5.1%
Gross profit415.2428.8421.4468.2
Gross margin36.6%35.6%35.8%37.1%
Net income52.373.873.3110.1
Net margin4.6%6.1%6.2%8.7%
EPS (diluted)$1.90$2.68$2.68$3.96
EPS growth (YoY)-29.1%0.0%-32.3%
Cash flow
Operating cash flow71.3102.6122.850.4
Capital expenditures44.733.256.377.3
Free cash flow26.669.566.5(26.9)

Figures are as originally filed with the SEC (point-in-time), not restated, so they can differ slightly from sites that show later-restated numbers. Why point-in-time?