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MOTORCAR PARTS AMERICA INC
SIC 3714 · Motor Vehicle Parts & Accessories
Notes
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about
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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
MOTORCAR PARTS AMERICA INC
SIC 3714 · Motor Vehicle Parts & Accessories
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
MOTORCAR PARTS AMERICA INC
SIC 3714 · Motor Vehicle Parts & Accessories
Notes
Support
about
terms
$
MPAA
MOTORCAR PARTS AMERICA INC
CIK:
0000918251
|
SEC Filings
Income Statement
Cash Flow
Balance Sheet
v3.26.1
Condensed Consolidated Statements of Operations - USD ($)
3 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Condensed Consolidated Statements of Operations [Abstract]
Net sales
$ 168,021,000
$ 188,364,000
Cost of goods sold
140,847,000
154,447,000
Gross profit
27,174,000
33,917,000
Operating expenses:
General and administrative
15,517,000
12,680,000
Sales and marketing
6,546,000
6,210,000
Research and development
3,176,000
3,306,000
Foreign exchange impact of lease liabilities and forward contracts
(1,597,000)
(8,348,000)
Total operating expenses
23,642,000
13,848,000
Operating income
3,532,000
20,069,000
Other expenses:
Interest expense, net
12,044,000
12,812,000
Change in fair value of compound net derivative liability
1,540,000
1,790,000
Total other expenses
13,584,000
14,602,000
(Loss) income before income tax expense
(10,052,000)
5,467,000
Income tax expense
3,369,000
2,425,000
Net (loss) income
$ (13,421,000)
$ 3,042,000
Basic net (loss) income per share (in Dollars per share)
$ (0.71)
$ 0.16
Diluted net (loss) income per share (in Dollars per share)
$ (0.71)
$ 0.15
Weighted average number of shares outstanding:
Basic (in Shares)
18,922,938
19,369,060
Diluted (in Shares)
18,922,938
19,917,663
v3.26.1
Condensed Consolidated Statements of Cash Flows - USD ($)
3 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Cash flows from operating activities:
Net (loss) income
$ (13,421,000)
$ 3,042,000
Adjustments to reconcile net (loss) income to net cash (used in) provided by operating activities:
Depreciation and amortization
2,742,000
2,449,000
Amortization of debt issuance costs
654,000
590,000
Amortization of interest on contract liabilities
182,000
162,000
Accrued interest on convertible notes, related party
1,065,000
968,000
Amortization of core premiums paid to customers
3,000,000
2,621,000
Amortization of finished goods premiums paid to customers
406,000
226,000
Noncash lease expense
2,682,000
2,435,000
Foreign exchange impact of lease liabilities and forward contracts
(1,597,000)
(8,348,000)
Change in fair value of compound net derivative liability
1,540,000
1,790,000
Gain on short-term investments
(190,000)
(131,000)
Net provision for inventory reserves
1,810,000
2,084,000
Net provision for customer payment discrepancies and credit losses
(645,000)
401,000
Deferred income taxes
(251,000)
(339,000)
Share-based compensation expense
2,138,000
946,000
Loss on disposal of plant and equipment
1,000
17,000
Changes in operating assets and liabilities:
Accounts receivable
41,898,000
5,994,000
Inventory
(18,297,000)
(8,046,000)
Prepaid expenses and other current assets
34,000
725,000
Other assets
167,000
394,000
Accounts payable and accrued liabilities
(19,054,000)
4,013,000
Customer finished goods returns accrual
3,206,000
(1,551,000)
Contract assets
(10,714,000)
(7,499,000)
Contract liabilities
(5,993,000)
9,359,000
Operating lease liabilities
(2,614,000)
(2,484,000)
Other liabilities
(52,000)
210,000
Net cash (used in) provided by operating activities
(11,303,000)
10,028,000
Cash flows from investing activities:
Purchase of plant and equipment
(1,108,000)
(807,000)
Purchase of intangible assets
(4,000,000)
0
Redemption of short-term investments
(61,000)
1,000
Net cash used in investing activities
(5,169,000)
(806,000)
Cash flows from financing activities:
Borrowings under revolving loan
207,065,000
188,676,000
Repayments of revolving loan
(182,894,000)
(192,607,000)
Payments on finance lease obligations
(328,000)
(385,000)
Exercise of stock options
24,000
0
Cash used to net share settle equity awards
(1,115,000)
(496,000)
Repurchase of common stock, including fees
(1,929,000)
(1,966,000)
Net cash provided by (used in) financing activities
20,823,000
(6,778,000)
Effect of exchange rate changes on cash and cash equivalents
119,000
606,000
Net increase in cash and cash equivalents
4,470,000
3,050,000
Cash and cash equivalents — Beginning of period
14,650,000
9,429,000
Cash and cash equivalents — End of period
19,120,000
12,479,000
Supplemental disclosures of cash flow information:
Cash paid for interest, net
10,088,000
11,154,000
Cash paid for income taxes, net of refunds
2,425,000
550,000
Cash paid for operating leases
3,490,000
3,688,000
Cash paid for finance leases
401,000
459,000
Plant and equipment acquired under finance leases
0
1,788,000
Assets acquired under operating leases
1,756,000
198,000
Accrued capital expenditures
$ 279,000
$ 192,000
v3.26.1
Condensed Consolidated Balance Sheets - USD ($)
Jun. 30, 2026
Mar. 31, 2026
Current assets:
Cash and cash equivalents
$ 19,120,000
$ 14,650,000
Short-term investments
2,279,000
2,028,000
Accounts receivable — net
71,362,000
112,614,000
Inventory — net
413,289,000
397,041,000
Contract assets
35,057,000
34,552,000
Prepaid expenses and other current assets
23,056,000
23,097,000
Total current assets
564,163,000
583,982,000
Plant and equipment — net
29,300,000
30,739,000
Operating lease assets
63,833,000
63,103,000
Long-term deferred income taxes
4,304,000
4,039,000
Long-term contract assets
338,242,000
331,221,000
Goodwill and intangible assets — net
7,355,000
3,440,000
Other assets
2,827,000
2,913,000
TOTAL ASSETS
1,010,024,000
1,019,437,000
Current liabilities:
Accounts payable and accrued liabilities
177,487,000
200,499,000
Customer finished goods returns accrual
33,164,000
29,923,000
Contract liabilities
47,570,000
61,201,000
Revolving loan
118,839,000
94,668,000
Other current liabilities
4,695,000
4,348,000
Operating lease liabilities
9,398,000
8,957,000
Total current liabilities
391,153,000
399,596,000
Convertible notes, related party
$ 44,795,000
$ 38,993,000
Notes Payable, Noncurrent, Related Party, Type [Extensible Enumeration]
Related Party [Member]
Related Party [Member]
Long-term contract liabilities
$ 256,961,000
$ 249,108,000
Long-term deferred income taxes
406,000
425,000
Long-term operating lease liabilities
55,665,000
56,969,000
Other liabilities
8,055,000
8,336,000
Total liabilities
757,035,000
753,427,000
Commitments and contingencies
Shareholders' equity:
Preferred stock
0
0
Common stock; par value $.01 per share, 50,000,000 shares authorized; 18,933,207 and 18,924,818 shares issued and outstanding at June 30, 2026 and March 31, 2026, respectively
189,000
189,000
Additional paid-in capital
225,827,000
226,709,000
Retained earnings
19,006,000
32,427,000
Accumulated other comprehensive income
7,967,000
6,685,000
Total shareholders' equity
252,989,000
266,010,000
TOTAL LIABILITIES AND SHAREHOLDERS’ EQUITY
1,010,024,000
1,019,437,000
Series A Junior Participating Preferred Stock [Member]
Shareholders' equity:
Preferred stock
$ 0
$ 0