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NYSE:TG

Tredegar Corp.

Tredegar Corp. reported net income of $33.5M in fiscal 2025. Free cash flow was $15.7M, and the diluted share count rose 1.1%.Summary generated from Tredegar Corp.'s SEC filings. Latest annual report filed Mar 11, 2026.

Revenue (FY25)n/a
Revenue growthn/a
Revenue, 5-yr CAGRn/a
Gross marginn/a
Operating marginn/a
Net marginn/a
ROICn/a
Return on equity16.8%
Debt / equity0.16
Free cash flow$15.7M
FCF marginn/a
Share count change+1.1%

Financials

Fiscal years, $M
Item20212022202320242025
Revenuen/an/an/an/an/a
Operating incomen/an/an/an/an/a
Net income5828−106−6533
Free cash flow43−58−21116

Recent filings

From SEC EDGAR

Peers

Rolling drawing & extruding of nonferrous metals