MasterBrand, Inc. (MBC)

MasterBrand, Inc. engages in the manufacture and sale of residential cabinets in the United States, Canada, and Mexico. The company offers a range of residential cabinetry products, such as stock, semi-custom, and premium cabinetry for the kitchen, bathroom, and other parts of the home. It sells its products to remodeling and new construction markets through dealers, retailers, and builders. MasterBrand, Inc. was founded in 1954 and is headquartered in Beachwood, Ohio.

Symbol
MBC
Exchange
NYSE
Sector
Consumer Cyclical
Industry
Furnishings, Fixtures & Appliances
Market cap
$1.47B
52 week range
6.27 - 13.95

Valuation

Share price
$7.21 (close of 2026-09-23)
P/E (TTM)
-10.65x
Price to book
0.75x
Price to free cash flow
19.79x
Enterprise value
$2.92B
Book value per share
$9.68

Price performance

PeriodChange
1 day+5.72%
5 days+3.15%
1 month-20.86%
3 months-13.76%
6 months-12.18%
Year to date-34.69%
1 year-44.71%
3 years-40.66%
All time-27.90%

Profitability and growth

Return on equity
1.99%
Return on invested capital
4.26%
Return on assets
0.86%
Return on capital employed
4.43%
Gross margin
30.26%
Net margin
0.98%
EBITDA margin
6.83%
Revenue growth
1.27%
Net income growth
-78.79%
Free cash flow growth
-44.34%

Cash flow and balance sheet

Free cash flow yield (TTM)
5.05%
Current ratio
1.76x
Net debt to EBITDA
19.57x

Latest reported year

Period end
2025-12-28
Fiscal year
2025
Revenue
$2.73B
Cost of revenue
$1.91B
Gross profit
$827.60M
EBITDA
$186.90M
Net income
$26.70M
Earnings per share
$0.21
Shares outstanding
127.00M

Income statement by year

Period endRevenueGross profitNet incomeEPS
2025-12-28$2.73B$827.60M$26.70M$0.21
2024-12-29$2.70B$877.00M$125.90M$0.99
2023-12-31$2.73B$901.40M$182.00M$1.42
2022-12-25$3.28B$940.50M$155.40M$1.21
2021-12-26$2.86B$783.90M$182.60M$1.43

Margins and returns by year

Period endGross marginNet marginReturn on equityReturn on capital
2025-12-2830.26%0.98%1.99%4.26%
2024-12-2932.48%4.66%9.72%8.57%
2023-12-3133.06%6.68%15.25%13.75%
2022-12-2528.71%4.74%15.40%7.48%
2021-12-2627.45%6.40%7.44%7.72%

Cash and debt by year

Period endCashDebt
2025-12-28$183.30M$974.50M
2024-12-29$120.60M$1.01B
2023-12-31$148.70M$690.20M
2022-12-25$101.10M$961.50M

Free cash flow by year

Period endFree cash flowStock-based compensation
2025-12-28$117.50M$16.10M
2024-12-29$211.10M$21.90M
2023-12-31$348.30M$17.80M
2022-12-25$179.70M$10.90M
2021-12-26$96.60M$9.30M

Investor relations

Next earnings report

Next confirmed report
2026-11-03

Past earnings dates

ReportedFiscal periodEPS estimate
2026-08-04Jun/2026-
2026-05-05--
2026-02-10--
2025-11-04--
2025-08-06--
2025-05-06--
2025-02-18--
2024-11-05--

Filings and sources

Company website
masterbrand.com
SEC filings
10-K, 10-Q and 8-K on EDGAR
Earnings calendar
All upcoming reports

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Understanding these figures

Price-to-earnings ratio · Discounted cash flow · Free cash flow · Earnings per share · Return on equity · Gross margin vs net margin · Reading a balance sheet · Debt and leverage · Dividend yield · Insider transactions and Form 4 · How to read a stock chart

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