Assay

Financial-condition grades for SEC filers

Company Report · as of Oct 9, 2026


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Pool Corp.POOL · shops
GradeElkBsecond fifth of 258 graded peers; percentile 33.1, sampling error 2.9 points; lower is stronger
Rank86 of 258
ProfitabilityCpercentile 53.6
SolvencyBpercentile 23.4
Growth and financingCpercentile 54.5
Reliability0.94 AUCfailure model, filers with over $2.67B assets; 95% interval 0.88 to 0.97; 61 events, 2020 to 2025
Peer failure rate0.52% a yearItem 1.03 bankruptcies, same asset band, 2012 to 2025
Size bandover $2.67B assetstotal assets $3.6B[1]
Standard universeinsiderevenue above $1M and assets above $10M[1-2]
Warningsnone activenot computable: short runway, distress
Inputs computable10 of 14
Graded fromfilings received through Feb 26, 2026225 days before the rescan; every figure keyed to the SEC receipt date
Last close$158.132026-10-08; market equity $5.8B; iex feed
Price used in gradeNone
Share price, twelve months to the rescansplit-adjusted close; a lollipop at every rescan carries the letter held then; baseline ticks are SEC receipt dates of the inputs; ranges and dragging scroll the full history
$200$300NovDecJanFebMarAprMayJunJulAugSepOctAB$158.14
ABCDE20132014201520162017201820192020202120222023202420252026

Percentile at every rescan on file, Jan 21, 2012 to Oct 9, 2026; stronger toward the top. Hover for the date.

Open this report as it stood on

Letter setLetterPercentileBand
Jan 21, 2012nonen/aQ4
Mar 21, 2014C49.3Q4
Mar 21, 2015B31.9Q4
Mar 21, 2016B/C37.3Q4
Apr 21, 2016B35.6Q4
Mar 21, 2017A14.7Q4
Apr 21, 2017A/B16.9Q4
Jun 21, 2017A16.4Q4
Aug 21, 2017A/B16.9Q4
Sep 21, 2017A16.2Q4
Oct 21, 2017A/B18.1Q4
Feb 21, 2018A15.6Q4
Mar 21, 2018A/B17.6Q4
Apr 21, 2018A15.9Q4
Apr 21, 2019A/B16.9Q4
May 21, 2019A15.2Q4
Oct 21, 2019A/B16.7Q4
Dec 21, 2019A16.1Q4
Mar 21, 2022A5.8Q5
Mar 21, 2025A/B18.9Q5
Apr 21, 2025A15.1Q5
Mar 21, 2026B28.8Q5

Each date opens the report as it stood on that rescan.

Business, in the company's words. Opening of Item 1 of the 10-K received Feb 26, 2026; the document on sec.gov.

Pool Corporation (the Company, which may also be referred to as we, us or our), a member of the S&P 500 Index, is the world’s largest wholesale distributor of swimming pool supplies, equipment and related leisure products and is one of the leading distributors of irrigation and landscape maintenance products in the United States. As of December 31, 2025, we operated 456 sales centers strategically located in North America, Europe and Australia, from which we sell swimming pool supplies, equipment and related leisure products, irrigation and landscape maintenance products and hardscapes, tile and stone products.

The Fourteen Inputs [top]

Lower percentile is stronger. Source numbers open the SEC filing; a range that spans filings opens the sources table.

InputPercentile, 0 to 100ValueSourcePeer medianPercentilePeersPeriod end
Profitability, sleeve percentile 53.6
Gross profitability43.4%[1,3]42.6%47.72422025-12-31
Return on invested capitalnot computable10.9%
latest aligned inputs end 2018-12-31; latest annual assets end 2025-12-31
Accruals ratio1.2%[1,4-6](4.9%)91.62872025-12-31
Gross margin stability, five years0.6 pts[2-3,7-14]1.2 pts21.62192025-12-31
Solvency, sleeve percentile 23.4
Twelve-month failure probabilitynot computable0.04%
latest liabilities, cash plus short-term investments, book equity, and shares are required
Altman Z double-prime4.02[1,15-20]1.9223.72082025-12-31
Net debt to EBITDAnot computable1.84x
latest aligned inputs end 2018-12-31; latest annual assets end 2025-12-31
Interest coveragenot computable2.26x
latest aligned inputs end 2011-12-31; latest annual assets end 2025-12-31
Current ratio2.24x[15-16]1.37x23.12952025-12-31
Growth and financing, sleeve percentile 54.5
Revenue growth, three-year compound(5.1%)[2,8,10,12]1.5%75.72692025-12-31
Free cash flow growth, three-year compound(11.1%)[5,21-27]5.6%80.11472025-12-31
Reinvestment rate49.4%[15-16,18,21,28-32]7.3%27.81522025-12-31
Asset growth, three years0.6%[1,6,33-34]3.4%58.72722025-12-31
Net share issuance, one year(2.2%)[35-36](0.6%)30.02112026-02-20

Gross profitability. Revenue less cost of goods sold, over total assets.

Accruals ratio. Net income less operating cash flow, over average assets; lower is stronger.

Gross margin stability, five years. Standard deviation of gross margin; lower is stronger.

Twelve-month failure probability. CHS model; lower is stronger.

Net debt to EBITDA. Lower is stronger.

Net share issuance, one year. Split-adjusted; lower is stronger.

Sleeves are equal-weighted; within a sleeve each computable input carries equal weight. Composite -0.146; sampling error 2.9 percentile points on 258 peers.

Among 258 Peers [top]

ABCDECOST, Costco Wholesale Corp.; A, percentile 4.7; market equity $420.1B; warnings: fortress balance sheetCOSTAMZN, Amazon COM Inc.; A/B, percentile 20.2; market equity $2.7T; warnings: fortress balance sheetAMZNHD, Home Depot, Inc.; B, percentile 32.3; market equity $294.8BHDTJX, TJX Companies Inc.; C, percentile 43.6; market equity $152.6BTJXWMT, Walmart Inc.; C, percentile 52.9; market equity $877.2BWMTMCD, Mcdonalds Corp.; D, percentile 63.4; market equity $167.6BMCDPOOL 33.1strongerweaker

Composite score of every graded peer, smoothed. Vertical rules are the letter band edges at the 20th, 40th, 60th and 80th percentiles. Small dots are the six largest peers by market equity.

RankCompanyPercentileLetterWarnings
81Natural Grocers by Vitamin Cottage, Inc. (NGVC)

Natural Grocers by Vitamin Cottage, Inc. (NGVC)

Bsecond fifth; percentile 31.1

NYSE · Retail-Grocery Stores

market equity $693.2M; last close $30.20

No active warnings; 11 of 14 inputs

31.1B
82Biglari Holdings Inc. (BH)

Biglari Holdings Inc. (BH)

Bsecond fifth; percentile 31.7

NYSE · Retail-Eating Places

last close $366.73

No active warnings; 7 of 14 inputs

31.7B
83Biglari Holdings Inc. (BH-A)

Biglari Holdings Inc. (BH-A)

Bsecond fifth; percentile 31.7

NYSE · Retail-Eating Places

last close $1,817.19

No active warnings; 7 of 14 inputs

31.7B
84Home Depot, Inc. (HD)

Home Depot, Inc. (HD)

Bsecond fifth; percentile 32.3

NYSE · Retail-Lumber & Other Building Materials Dealers

market equity $294.8B; last close $295.47

No active warnings; 12 of 14 inputs

32.3B
85Coupang, Inc. (CPNG)

Coupang, Inc. (CPNG)

Bsecond fifth; percentile 32.7

NYSE · Retail-Catalog & Mail-Order Houses

last close $15.41

Warnings: fortress balance sheet; 9 of 14 inputs

32.7Bfortress balance sheet
86Pool Corp. (POOL)

Pool Corp. (POOL)

Bsecond fifth; percentile 33.1

Nasdaq · Wholesale-Misc Durable Goods

market equity $5.8B; last close $158.13

No active warnings; 10 of 14 inputs

33.1B
87Burlington Stores, Inc. (BURL)

Burlington Stores, Inc. (BURL)

Bsecond fifth; percentile 33.5

NYSE · Retail-Department Stores

market equity $17.4B; last close $276.91

No active warnings; 8 of 14 inputs

33.5B
88Weyco Group Inc. (WEYS)

Weyco Group Inc. (WEYS)

Bsecond fifth; percentile 33.9

Nasdaq · Wholesale-Apparel, Piece Goods & Notions

market equity $496.8M; last close $51.88

No active warnings; 9 of 14 inputs

33.9B
89Flanigans Enterprises Inc. (BDL)

Flanigans Enterprises Inc. (BDL)

Bsecond fifth; percentile 34.2

NYSE · Retail-Eating Places

market equity $86.2M; last close $46.52

Warnings: late filer, fortress balance sheet; 7 of 14 inputs

34.2Blate filer, fortress balance sheet
90Live Ventures Inc. (LIVE)

Live Ventures Inc. (LIVE)

Bsecond fifth; percentile 34.6

Nasdaq · Retail-Miscellaneous Retail

market equity $23.7M; last close $7.88

No active warnings; 9 of 14 inputs

34.6B
91Cencora, Inc. (COR)

Cencora, Inc. (COR)

Bsecond fifth; percentile 35.0

NYSE · Wholesale-Drugs, Proprietaries & Druggists' Sundries

market equity $61.3B; last close $321.30

No active warnings; 11 of 14 inputs

35.0B
Peer policyLetterPercentilePeers
all graded filers, equal sleevesB30.02204
sector peers, equal sleeves (the grade)B33.1258
same exchange, equal sleevesB31.41219
sector peers, equal inputsC45.1258

Each letter is one fifth of the 258 graded peers, about 51 companies. A boundary letter (A/B, B/C, C/D, D/E) marks a percentile within one sampling error of a band edge.

What the Price Implies [top]

Market measures at the 2026-10-08 close. None enters the grade. Percentile among graded peers with the same measure.

MeasureValuePeer medianPercentileReading
Twelve-month price change, skipping the latest month(38.3%)(0.1%)12hotter than 12 of 100 peers
Distance from 52-week high(47.7%)(24.1%)18closer to its high than 18 of 100 peers
EBIT to enterprise value8.3%5.3%79pricier than 21 of 100 peers
Free cash flow yield5.4%4.2%60pricier than 40 of 100 peers
Book value to price0.200.3634pricier than 66 of 100 peers
Sales to price0.921.7533pricier than 67 of 100 peers
Composite equity issuance, five years(17.7%)(16.7%)46more equity-funded than 46 of 100 peers
Relative strength against the sector, log excess return(0.46)0.0212ahead of 12 of 100 peers

Inputs: market equity $5.8B; EBIT $580.2M; free cash flow $309.5M; book equity $1.1B; sales $5.3B; debt $1.2B; cash $36.7M[37].

Diagnostics [top]

Diagnostics do not feed the grade.

Piotroski F-score: 6 of 9, period end 2025-12-31
Return on assets above zero12.1%✓ pass[4,6]
Operating cash flow above zero$365.9M✓ pass[5]
Return on assets improved(0.6 pts)✗ fail[4,6,33,38]
Operating cash flow exceeds net income-$40.6M✗ fail[4-5]
Long-term leverage fell7.4 pts✗ fail[1,6,33,39-40]
Current ratio improved18.9 pts✓ pass[15-16,31-32]
No new shares issued(2.2%)✓ pass[35-36]
Gross margin improved0.1 pts✓ pass[2-3,7-8]
Asset turnover improved2.1 pts✓ pass[2,6,8,33]
Cash, filings, liquidity
Cash and equivalentsn/a
Operating cash flow, four quartersn/a[5,41-44]
Months of runwaynot finite
cash is missing at the end of the latest cash-flow quarter
Late filings, two years0
NT 10-K or NT 10-Q
Days since last periodic filing72
10-Q received Jul 29, 2026
Median daily dollar volume$128.0M
63 sessions
Days since newest grade input225

Downloads [top]

Sources [top]

Every citation on this page. Filing opens the SEC index page for that submission; viewer opens the SEC interactive data for the same filing; series opens the SEC XBRL API record for that tag and company.

#ConceptXBRL tagValuePeriod endReceivedFormLinks
1assetsus-gaap:Assets$3.6B2025-12-312026-02-2610-Kfiling · viewer · series
2revenueus-gaap:Revenues$5.3B2025-12-312026-02-2610-Kfiling · viewer · series
3gross profitus-gaap:GrossProfit$1.6B2025-12-312026-02-2610-Kfiling · viewer · series
4net incomeus-gaap:NetIncomeLoss$406.4M2025-12-312026-02-2610-Kfiling · viewer · series
5operating cash flowus-gaap:NetCashProvidedByUsedInOperatingActivities$365.9M2025-12-312026-02-2610-Kfiling · viewer · series
6assetsus-gaap:Assets$3.4B2024-12-312026-02-2610-Kfiling · viewer · series
7gross profitus-gaap:GrossProfit$1.6B2024-12-312026-02-2610-Kfiling · viewer · series
8revenueus-gaap:Revenues$5.3B2024-12-312026-02-2610-Kfiling · viewer · series
9gross profitus-gaap:GrossProfit$1.7B2023-12-312026-02-2610-Kfiling · viewer · series
10revenueus-gaap:Revenues$5.5B2023-12-312026-02-2610-Kfiling · viewer · series
11gross profitus-gaap:GrossProfit$1.9B2022-12-312025-02-2710-Kfiling · viewer · series
12revenueus-gaap:Revenues$6.2B2022-12-312025-02-2710-Kfiling · viewer · series
13gross profitus-gaap:GrossProfit$1.6B2021-12-312024-02-2710-Kfiling · viewer · series
14revenueus-gaap:Revenues$5.3B2021-12-312024-02-2710-Kfiling · viewer · series
15current assetsus-gaap:AssetsCurrent$2.0B2025-12-312026-02-2610-Kfiling · viewer · series
16current liabilitiesus-gaap:LiabilitiesCurrent$880.3M2025-12-312026-02-2610-Kfiling · viewer · series
17retained earningsus-gaap:RetainedEarningsAccumulatedDeficit$520.7M2025-12-312026-02-2610-Kfiling · viewer · series
18operating incomeus-gaap:OperatingIncomeLoss$580.2M2025-12-312026-02-2610-Kfiling · viewer · series
19book equityus-gaap:StockholdersEquity$1.2B2025-12-312026-02-2610-Kfiling · viewer · series
20liabilitiesus-gaap:Liabilities$2.4B2025-12-312026-02-2610-Kfiling · viewer · series
21capital expenditureus-gaap:PaymentsToAcquirePropertyPlantAndEquipment$56.3M2025-12-312026-02-2610-Kfiling · viewer · series
22operating cash flowus-gaap:NetCashProvidedByUsedInOperatingActivities$659.2M2024-12-312026-02-2610-Kfiling · viewer · series
23capital expenditureus-gaap:PaymentsToAcquirePropertyPlantAndEquipment$59.5M2024-12-312026-02-2610-Kfiling · viewer · series
24operating cash flowus-gaap:NetCashProvidedByUsedInOperatingActivities$888.2M2023-12-312026-02-2610-Kfiling · viewer · series
25capital expenditureus-gaap:PaymentsToAcquirePropertyPlantAndEquipment$60.1M2023-12-312026-02-2610-Kfiling · viewer · series
26operating cash flowus-gaap:NetCashProvidedByUsedInOperatingActivities$484.9M2022-12-312025-02-2710-Kfiling · viewer · series
27capital expenditureus-gaap:PaymentsToAcquirePropertyPlantAndEquipment$43.6M2022-12-312025-02-2710-Kfiling · viewer · series
28depreciation amortizationus-gaap:Depreciation$42.7M2025-12-312026-02-2610-Kfiling · viewer · series
29pretax incomeus-gaap:IncomeLossFromContinuingOperationsBeforeIncomeTaxesMinorityInterestAndIncomeLossFromEquityMethodInvestments$533.4M2025-12-312026-02-2610-Kfiling · viewer · series
30income taxus-gaap:IncomeTaxExpenseBenefit$127.1M2025-12-312026-02-2610-Kfiling · viewer · series
31current assetsus-gaap:AssetsCurrent$1.7B2024-12-312026-02-2610-Kfiling · viewer · series
32current liabilitiesus-gaap:LiabilitiesCurrent$844.2M2024-12-312026-02-2610-Kfiling · viewer · series
33assetsus-gaap:Assets$3.4B2023-12-312025-02-2710-Kfiling · viewer · series
34assetsus-gaap:Assets$3.6B2022-12-312024-02-2710-Kfiling · viewer · series
35shares outstandingdei:EntityCommonStockSharesOutstanding36,787,8202026-02-202026-02-2610-Kfiling · viewer · series
36shares outstandingdei:EntityCommonStockSharesOutstanding37,630,4652025-02-202025-02-2710-Kfiling · viewer · series
37shares outstandingdei:EntityCommonStockSharesOutstanding36,443,0032026-04-232026-04-2810-Qfiling · viewer · series
38net incomeus-gaap:NetIncomeLoss$434.3M2024-12-312026-02-2610-Kfiling · viewer · series
39long term debtus-gaap:LongTermDebtNoncurrent$1.2B2025-12-312026-02-2610-Kfiling · viewer · series
40long term debtus-gaap:LongTermDebtNoncurrent$900.9M2024-12-312026-02-2610-Kfiling · viewer · series
41operating cash flowus-gaap:NetCashProvidedByUsedInOperatingActivities$25.7M2026-03-312026-04-2810-Qfiling · viewer · series
42operating cash flowus-gaap:NetCashProvidedByUsedInOperatingActivities$285.7M2025-09-302025-10-2910-Qfiling · viewer · series
43operating cash flowus-gaap:NetCashProvidedByUsedInOperatingActivities-$1.5M2025-06-302025-07-3010-Qfiling · viewer · series
44operating cash flowus-gaap:NetCashProvidedByUsedInOperatingActivities$27.2M2025-03-312026-04-2810-Qfiling · viewer · series

Limitations [top]

Grade boundary. Percentile 33.1 is 6.9 points from the nearest band edge; sampling error is 2.9 points.

Peer group. Sector assignment from four-digit SIC codes, hand-tuned and published. The grade under three alternative peer policies is tabled above.

Size. Within a sector the letter tracks size. Among graded filers in the smallest asset band, 72% grade E and 0% grade A; in the largest, 13% grade E and 21% grade A. Universe as of Oct 9, 2026.

Failure model. filings 2012-01-01 to 2019-12-31 fit, filings 2020-01-01 to 2025-12-31 test; status post hoc pending confirmation. pre-registered on 2026 filings once their 12-month outcome windows close; supported if the paired per-quintile gain over the pooled model has a lower bound above 0.05.

Input validity. Revenue or total assets at or below $100,000 sets the degenerate-inputs flag. An input whose denominator is at or below $100,000 is left not computable rather than ranked.

Returns. No input on this page has a post-2015 confidence interval on returns that excludes zero. The grade ranks reported financial condition and is not a return forecast.