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Core Laboratories N.V.

CLB
36
Oil & Gas Equipment & Services · Energy
Price
$11.34
-0.15 (-1.31%)
Market Cap
$522.7M
Winston Score
36
Winston is serious
Below-average fundamentals — multiple weak pillars.

Core Laboratories helps oil and gas companies get more oil and gas out of the ground. It does this by analyzing rock samples, reservoir fluids, and well data to tell energy producers where to drill and how to maximize production. Its main customers are large oil companies and national energy firms around the world.

The company earns revenue by charging fees for laboratory analysis services and selling specialized equipment used in reservoir description and production enhancement. Core Laboratories operates globally, with customers across North America, the Middle East, and other major oil-producing regions, though its relatively small size means it competes on technical expertise rather than scale. Its main risk is that revenue depends heavily on how much oil and gas companies choose to spend on exploration and production — when energy prices fall and companies cut budgets, demand for Core Laboratories' services tends to drop alongside them.

Winston Score History

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Growth Profile

When traditional metrics don't capture the full picture, these are the signals growth stock investors use instead.

Revenue Growth

-1.4% YoY

YoY Growth Rate

Revenue declining

EPS Growth

-506.1% YoY

YoY Growth Rate

Earnings declining

R&D Spend

$0/ year

0.0% of revenue

Below sector average (1%)

Research and development spending

Insider Activity

1.5%ownership

Flat

Insiders holding steady — not selling despite ability to

Cash Runway

~6 years

$23M cash & investments

Quarterly Free Cash Flow

→ Burn rate stable

$23M cash & investments at current burn rate

Revenue declining

Core Laboratories N.V.'s revenue is actually shrinking. In a growth stock, that removes the core investment thesis. The low Winston Score here may be warranted — unless there's a turnaround story.

The Winston Score above measures business quality today. Growth stocks often score lower because they invest in the future rather than maximising current profits. These metrics show what matters most for evaluating that future.

Share count broadly stable

0.4% over 4y

The share count has stayed roughly flat over this period — little dilution or buyback activity.

Diluted shares outstanding: 46.7M (2021) → 46.5M (2025)

Score breakdown

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Quality

Gross Margin
16.2%
Thin — 16.2% gross margin
Operating Margin
1.5%
Thin — 1.5% operating margin
ROCE
0.6%
Weak — 0.6% return on capital

ROIC between 0% and 5%. They earn a few cents back per dollar invested in the business.

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Growth

Sales YoY
+1.3%
Nearly flat sales (1.3% YoY)
EPS YoY
+8.9%
Earnings growing (8.9% YoY)

Single-digit earnings growth — steady but not exciting.

EPS Consistency
4/8 quarters
Earnings inconsistent quarter-to-quarter

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Cash Flow

Cash Conversion
121%
Turns 121% of profit into real cash
FCF Margin
3.6%
Thin free cash flow (3.6%)

FCF margin between 0% and 10%. Some cash from sales, but not a lot.

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Stability

Debt / Equity
0.15
Conservative — low debt load (0.15)
Interest Cover
4.99x
Adequate interest coverage (5.0x)

Interest coverage between 3 and 8. Profits cover interest several times over.

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Valuation

P/E Ratio (TTM)
17.4x
Fair value — P/E 17.4

P/E in the normal range. Price is roughly $15 for every $1 of yearly profit.

P/E vs Forward
-1.9
SLOWING
Earnings expected to fall — forward P/E higher than today

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Dividends

Dividend Yield
0.35%
Small dividend — 0.35% yield

Modest yield. The bulk of any return needs to come from price appreciation.

Dividend Growth
+0.0%
Dividend flat

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