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CLEAN HARBORS INC
SIC 4955 · Hazardous Waste Management
Notes
Support
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Created by potrace 1.16, written by Peter Selinger 2001-2019
beatandraise.com
Created by potrace 1.16, written by Peter Selinger 2001-2019
beatandraise.com
beta
Latest Financials
Filings:
Category
Date
Search Filings
Institutional Holders
beta
Earnings Transcripts
beta
Global Search
SEC Edgar
CLEAN HARBORS INC
SIC 4955 · Hazardous Waste Management
Notes
Support
about
terms
Created by potrace 1.16, written by Peter Selinger 2001-2019
beatandraise.com
beta
Latest Financials
Filings:
Category
Date
Search Filings
Institutional Holders
beta
Earnings Transcripts
beta
Global Search
SEC Edgar
CLEAN HARBORS INC
SIC 4955 · Hazardous Waste Management
Notes
Support
about
terms
$
CLH
CLEAN HARBORS INC
CIK:
0000822818
|
SEC Filings
Income Statement
Cash Flow
Balance Sheet
v3.26.1
UNAUDITED CONSOLIDATED STATEMENTS OF OPERATIONS - USD ($)
shares in Thousands, $ in Thousands
3 Months Ended
6 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Jun. 30, 2026
Jun. 30, 2025
Revenues:
Total revenues
$ 1,735,005
$ 1,549,854
$ 3,194,542
$ 2,981,804
Cost of revenues: (exclusive of items shown separately below)
Total cost of revenues
1,126,225
1,033,497
2,140,345
2,055,381
Selling, general and administrative expenses
214,574
186,183
421,715
369,030
Accretion of environmental liabilities
3,502
3,591
7,044
7,211
Depreciation and amortization
121,807
116,285
237,606
228,265
Income from operations
268,897
210,298
387,832
321,917
Other income (expense), net
430
(603)
(301)
(1,535)
Interest expense, net of interest income of $3,628, $5,086, $10,041, and $10,714, respectively
(37,208)
(37,106)
(71,062)
(73,183)
Income before provision for income taxes
232,119
172,589
316,469
247,199
Provision for income taxes
61,655
45,684
82,804
61,614
Net income
$ 170,464
$ 126,905
$ 233,665
$ 185,585
Earnings per share:
Basic (in dollars per share)
$ 3.23
$ 2.37
$ 4.42
$ 3.46
Diluted (in dollars per share)
$ 3.22
$ 2.36
$ 4.41
$ 3.44
Shares used to compute earnings per share - Basic (in shares)
52,806
53,593
52,843
53,675
Shares used to compute earnings per share - Diluted (in shares)
52,961
53,799
53,005
53,895
Service revenues
Revenues:
Total revenues
$ 1,432,855
$ 1,336,948
$ 2,680,289
$ 2,538,402
Cost of revenues: (exclusive of items shown separately below)
Total cost of revenues
944,568
874,919
1,790,945
1,714,663
Product revenues
Revenues:
Total revenues
302,150
212,906
514,253
443,402
Cost of revenues: (exclusive of items shown separately below)
Total cost of revenues
$ 181,657
$ 158,578
$ 349,400
$ 340,718
v3.26.1
UNAUDITED CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Thousands
6 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Cash flows from operating activities:
Net income
$ 233,665
$ 185,585
Adjustments to reconcile net income to net cash from operating activities:
Depreciation and amortization
237,606
228,265
Allowance for doubtful accounts
5,951
3,249
Amortization of deferred financing costs and debt discount
2,610
3,352
Accretion of environmental liabilities
7,044
7,211
Changes in environmental liability estimates
(2,061)
(8,954)
Other expense, net
301
1,535
Stock-based compensation
24,396
13,698
Environmental expenditures
(7,079)
(7,051)
Changes in assets and liabilities, net of acquisitions:
Accounts receivable and unbilled accounts receivable
(262,255)
(116,399)
Inventories and supplies
(11,679)
2,952
Other current and non-current assets
10,057
(13,395)
Accounts payable
8,859
(36,035)
Other current and long-term liabilities
(1,945)
(54,368)
Net cash from operating activities
245,470
209,645
Cash flows used in investing activities:
Additions to property, plant and equipment
(224,638)
(208,724)
Proceeds from sale and disposal of fixed assets
3,694
4,063
Acquisitions, net of cash acquired
(357,593)
0
Additions to intangible assets including costs to obtain or renew permits
(987)
(777)
Purchases of available-for-sale securities
(25,853)
(45,622)
Proceeds from sale of available-for-sale securities
44,857
50,318
Net cash used in investing activities
(560,520)
(200,742)
Cash flows used in financing activities:
Change in uncashed checks
(5,507)
(2,767)
Tax payments related to withholdings on vested restricted stock
(11,804)
(10,456)
Repurchases of common stock
(52,133)
(67,001)
Proceeds from employee stock purchase plan
3,611
3,360
Deferred financing costs paid
(691)
0
Payments on finance leases
(25,422)
(16,754)
Principal payments on debt
(6,300)
(7,551)
Net cash used in financing activities
(98,246)
(101,169)
Effect of exchange rate change on cash
(4,662)
5,260
Decrease in cash and cash equivalents
(417,958)
(87,006)
Cash and cash equivalents, beginning of period
826,315
687,192
Cash and cash equivalents, end of period
408,357
600,186
Cash payments for interest and income taxes:
Interest paid
75,394
76,570
Income taxes paid, net of refunds
63,801
64,534
Non-cash investing activities:
Property, plant and equipment accrued
40,544
25,156
ROU assets obtained in exchange for operating lease liabilities
41,492
34,867
ROU assets obtained in exchange for finance lease liabilities
$ 45,495
$ 57,802
v3.26.1
CONSOLIDATED BALANCE SHEETS - USD ($)
$ in Thousands
Jun. 30, 2026
Dec. 31, 2025
Current assets:
Cash and cash equivalents
$ 408,357
$ 826,315
Short-term marketable securities
108,361
127,363
Accounts receivable, net of allowances aggregating $42,892 and $35,991, respectively
1,276,620
1,044,137
Unbilled accounts receivable
186,764
160,888
Inventories and supplies
382,935
372,088
Prepaid expenses and other current assets
109,203
116,452
Total current assets
2,472,240
2,647,243
Property, plant and equipment, net
2,636,955
2,541,067
Other assets:
Operating lease right-of-use assets
257,518
255,084
Goodwill
1,672,635
1,479,050
Permits and other intangibles, net
749,111
653,027
Other long-term assets
48,574
48,585
Total other assets
2,727,838
2,435,746
Total assets
7,837,033
7,624,056
Current liabilities:
Current portion of long-term debt
12,600
12,600
Accounts payable
518,186
506,592
Deferred revenue
84,038
81,529
Accrued expenses and other current liabilities
442,435
441,788
Current portion of closure, post-closure and remedial liabilities
22,774
19,112
Current portion of operating lease liabilities
80,291
75,226
Total current liabilities
1,160,324
1,136,847
Other liabilities:
Closure and post-closure liabilities, less current portion of $13,177 and $10,290, respectively
124,554
125,038
Remedial liabilities, less current portion of $9,597 and $8,822, respectively
83,512
86,547
Long-term debt, less current portion
2,759,327
2,763,563
Operating lease liabilities, less current portion
182,077
184,308
Deferred tax liabilities
384,008
384,207
Other long-term liabilities
214,809
197,886
Total other liabilities
3,748,287
3,741,549
Commitments and contingent liabilities (See Note 15)
Stockholders’ equity:
Common stock, $0.01 par value: Authorized 80,000,000 shares; issued and outstanding 52,791,094 and 52,870,599 shares, respectively
528
529
Additional paid-in capital
160,100
193,896
Accumulated other comprehensive loss
(221,722)
(204,616)
Retained earnings
2,989,516
2,755,851
Total stockholders’ equity
2,928,422
2,745,660
Total liabilities and stockholders’ equity
$ 7,837,033
$ 7,624,056