WallStSmart
DORM

Dorman Products Inc

NASDAQ: DORM · CONSUMER CYCLICAL · AUTO PARTS

$121.01
-0.79% today

Updated 2026-06-05

Market cap
$3.82B
P/E ratio
20.62
P/S ratio
1.78x
EPS (TTM)
$6.20
Dividend yield
52W range
$98 – $167
Volume
0.2M

WallStSmart proprietary scores

53
out of 100
Grade: C
Hold
Investment rating
4.0
Growth
C
9.0
Quality
A+
6.5
Profitability
B
5.3
Valuation
C+
7/9
Piotroski F-Score
Strong
3.4
Altman Z-Score
Safe zone
Industry rank
View all highly rated stocks (75+) →199 stocks currently score above 75

Price targets

Analyst target
$152.25
+25.82%
12-Month target
$104.35
-13.77%
Intrinsic (DCF)
$116.55
Margin of safety
-14.35%
2 Strong Buy6 Buy0 Hold0 Sell0 Strong Sell

Price chart

Stock snapshot

Strengths
+ Piotroski 7/9 — strong financial health
+ Altman Z 3.38 — safe zone
+ Free cash flow $35.31M — positive
+ Debt/equity 0.36x — low leverage
Risks
- 14.35% above intrinsic value

Key financials

Revenue Net Income Free Cash Flow
Metric2022202320242025TTM
Revenue$1.73B$1.93B$2.01B$2.13B$2.15B
Net income$121.55M$129.26M$190.00M$204.19M$43.55M
EPS$6.20
Free cash flow$3.81M$164.79M$191.63M$75.67M$35.31M
Profit margin7.01%6.70%9.46%9.59%8.84%

Peer comparison

CompanyMkt CapScoreGrowthProfitValueQualityMoSRating
DORM$3.82B534.06.55.39.0-14.35%Buy
AMZN$2.76T658.76.53.36.0-60.37%Buy
TSLA$1.59T336.74.02.07.5-52.02%Avoid
HD$310.62B543.37.54.05.0-46.55%Buy
BABA$270.36B646.75.09.36.5+60.19%Buy
TM$228.02B606.74.56.34.5Buy

Smart narrative

Dorman Products Inc trades at $121.01. representing a P/E of 20.62x trailing earnings. Our Smart Value Score of 53/100 indicates the stock is fair. The company scores 7/9 on the Piotroski F-Score. With an Altman Z-Score of 3.38, it sits in the safe zone. TTM revenue stands at $2.15B. with profit margins at 8.84%. Our DCF model estimates intrinsic value at $116.55.

Frequently asked questions

What is Dorman Products Inc's stock price?

Dorman Products Inc (DORM) trades at $121.01, on a P/E of 20.6x and a P/S of 1.8x. Those multiples show what the market is paying for each dollar of earnings and sales, which is the real starting point for judging whether the price is reasonable.

Is Dorman Products Inc overvalued?

Dorman Products Inc carries a Smart Value Score of 53/100 (Grade C), which we rate Hold. That score blends growth, quality, and valuation into one read. On valuation specifically, our conservative DCF puts intrinsic value at $116.55 against the $121.01 price, so on cash flow terms the market is paying a premium for Dorman Products Inc's growth. The Hold rating reflects that growth and quality, while the DCF flags that the price already assumes a lot.

What is the price target of Dorman Products Inc (DORM)?

The 12-month analyst consensus target is $152.25, about 25.8% above the current $121.01. A consensus target is the average of Wall Street's 12-month forecasts, so it works as a sentiment gauge rather than a guarantee, and it resets with every earnings cycle.

What is the intrinsic value of Dorman Products Inc (DORM)?

Our DCF model estimates intrinsic value at $116.55, a -14.3% margin of safety versus today's $121.01. Intrinsic value is what the projected cash flows are worth today. A negative reading means the price is running ahead of that conservative estimate, leaving little downside cushion if growth slows.

What is Dorman Products Inc's revenue?

Dorman Products Inc's trailing twelve-month revenue is $2.15B. Revenue scale anchors the valuation multiples and shows whether growth is reaching the top line, so it is best read alongside margin and growth trends to see if that revenue is getting more profitable over time.

Altman Z-Score?

Dorman Products Inc's Altman Z-Score is 3.38, which places it in the safe zone. The Altman Z-Score gauges bankruptcy risk from profitability, leverage, and asset efficiency, and a higher reading points to lower financial distress risk.

Company info

SectorCONSUMER CYCLICAL
IndustryAUTO PARTS
CountryUSA
ExchangeNASDAQ
CurrencyUSD

Quick metrics

P/S ratio1.78x
ROE12.97%
Beta0.99
50D MA$116.35
200D MA$128.23
Shares out0.03B
Float0.03B
Short ratio
Avg volume0.2M

Performance

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YTD
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