ROCKY SHOES and BOOTS, Inc.

ROCKY SHOES and BOOTS, Inc.

ROCKY SHOES and BOOTS, Inc.

Overview
Date Founded

1992

Headquarters

39 EAST CANAL STREET, NELSONVILLE, OH, 45764

Type of Company

Public

Employees (Worldwide)

2,087

Industries

Apparel & Footwear
Pension Funds & Sovereign Wealth
Wholesale: Consumer Non-Durables/Sundries

Company Description

Rocky Brands, Inc. engages in the design, manufacture, and marketing of footwear and apparel. Its brand includes Rocky, Georgia Boot, Durango, Lehigh, Creative Recreation, and Michelin. It operates through the following segments: Wholesale, Retail, and Military. The Wholesale segment distributes its products through retail stores. The Retail segment includes direct sales of its products to consumers through e-commerce websites, third party marketplaces, and Rocky outlet store. The Military segment focuses on the bidding of footwear contracts with the U.S. military. The company was founded in 1932 and is headquartered in Nelsonville, OH.

Contact Data
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Executives & Employees

Director, President & Chief Executive Officer

President-Operations

President, Core Brand Sales, Marketing & Product Development

Chief Financial Officer, Treasurer, Principal Accounting Officer & Executive Vice President

President, Manufacturing/Sourcing Operations

Director of the Company

Director of the Company

Director of the Company

Director, eCommerce

Director of the Company & Secretary of the Company & Subsidiaries

Board of Directors

President & Chief Executive Officer at ROCKY SHOES and BOOTS, Inc.

Chair, Corporate Department at Porter Wright Morris & Arthur LLP

Chief Financial Officer & Executive Vice President at Amtrak

Former Chief Executive Officer at Bhartiya International Ltd.

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ROCKY SHOES and BOOTS, Inc.
Owners & Shareholders
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North Star Investment Management Corp. invests primarily in the stocks of US small-cap companies in the finance, consumer non-durables and transportation sectors. The firm maintains a medium turnover rate

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SG Capital Management''s investment process is based on bottom up, fundamental analysis. The firm focuses on earnings and select stocks based on whether they think a company may exceed or miss profit expectations given their view of what is priced into the stockThe Cedar Street Funds follow an event-driven, opportunistic strategy, investing in US-listed equities and corresponding options. These funds offer three classes to investors: Market Neutral, Long-Short or Long Only. SG Capital also manages separate accounts that follow the same strategies that the Cedar Street Funds' share classes offer. The Cedar Street Funds focus on investments in US small-cap companies. Unless there are client-imposed restrictions, each share class and corresponding separate account maintain the same portfolio holdings.The Teton Fund is managed following a similar opportunistic strategy, but allows for greater exposure and leverage limits. The Teton Fund may also invest in securities with greater market capitalizations and securities in sectors in which the Cedar Street Funds do not invest. Lastly, this fund also offers the same three classes to investors that the Cedar Street Funds offer: Market Neutral, Long-Short or Long Only. SG Capital also manages separate accounts that follow these strategies that the Teton Fund's share classes offer. The Teton Fund focuses on investments in all-cap US companies. Unless there are client-imposed restrictions, each share class and corresponding separate account maintain the same portfolio holdings.

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National Investment Services (NIS) is primarily an institutional-oriented investment management firm that manages client portfolios across a variety of fixed income, preferred stock and equity strategies. The firm manages separate accounts as well as various hedge funds.NIS' fixed income portfolios typically include US Treasury and agency securities; domestic and international investment grade and high yield corporate securities; MBS; ABS; and municipal securities; preferred stock. Their fixed income investment philosophy is based on fundamental economic analysis, technical interest rate analysis, structure optionality analysis, and credit research. NIS' economic outlook leads to strategy decisions that reflect our views on interest rates, trends in volatility, and relative value among market sectors. investment strategy seeks to generate consistent, competitive long-term results relative to the broader market, but with lower levels of volatility.NIS' equity strategies are based on top-down macroeconomic and sector analysis. The firm seeks to identify investment opportunities on the basis of relevant cycles and historical trends. Their research indicates that successful sector allocation and security selection is heavily influenced by the economic cycle. Using bottom-up stock selection, NIS employs fundamental and quantitative criteria to identify undervalued companies. These are typically high-quality, temporarily out-of-favor stocks with strong balance sheets, good revenue and earnings growth prospects, attractive and growing cash dividends, and strong management teams.

Recent Transactions
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ROCKY SHOES and BOOTS, Inc. purchases Kommonwealth, Inc.

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ROCKY SHOES and BOOTS, Inc. issued USD Common Stock

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ROCKY SHOES and BOOTS, Inc. issued USD Common Stock

Insider Transactions
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Transaction Advisors
Investment Advisor

Advised onROCKY SHOES and BOOTS, Inc. purchases EJ Footwear Group

Accountant

Advised onROCKY SHOES and BOOTS, Inc. purchases EJ Footwear Group

Legal Advisor

Advised onROCKY SHOES and BOOTS, Inc. purchases EJ Footwear Group

Advisors & Consultants
Legal Advisor

Chair, Corporate Department at Porter Wright Morris & Arthur LLP

Clients

Carnival Corporation & plc is a global cruise company and one of the largest vacation companies in the world. Our portfolio of leading cruise brands includes Carnival Cruise Lines, Holland America Line, Princess Cruises and Seabourn in North America; P&O Cruises (UK), and Cunard in the United Kingdom; AIDA Cruises in Germany; Costa Cruises in Southern Europe; Iberocruceros in Spain; and P&O Cruises (Australia) in Australia. These brands, which comprise the most recognized cruise brands in North America, the United Kingdom, Germany and Italy, offer a wide range of holiday and vacation products to a customer base that is broadly varied in terms of cultures, languages and leisure-time preferences. We also own a tour company that complements our cruise operations: Holland America Princess Alaska Tours in Alaska and the Canadian Yukon. Combined, our vacation companies attract 10 million guests annually

Carnival Corp. engages in the operation of cruise ships. It operates through the following business segments: North America, Europe, Australia, and Asia (EEA), Cruise Support, and Tour and Other. The North America segment includes Carnival Cruise Line, Holland America Line, Princess Cruises, and Seabourn. The Europe, Australia, and Asia (EEA) segment comprises of AIDA, Costa, Cunard, P&O Cruises (Australia), P&O Cruises (UK). The Cruise Support segment represents port destinations and private islands for the benefit of its cruise brands. The Tour and Other segment operates hotel and transportation operations of Holland America Princess Alaska Tours. The company was founded in 1972 and is headquartered in Miami, FL.

Amazon.com, Inc. engages in the provision of online retail shopping services. It operates through the following business segments: North America, International, and Amazon Web Services (AWS). The North America segment includes retail sales of consumer products and subscriptions through North America-focused websites such as www.amazon.com and www.amazon.ca. The International segment offers retail sales of consumer products and subscriptions through internationally-focused websites. The Amazon Web Services segment involves in the global sales of compute, storage, database, and AWS service offerings for start-ups, enterprises, government agencies, and academic institutions. The company was founded by Jeffrey P. Bezos in July 1994 and is headquartered in Seattle, WA.

Key Stats and Financials As of 2019
Market Capitalization
$180M
Total Enterprise Value
$205M
Earnings Per Share
$2.35
Revenue
$270M
Enterprise Value Sales
0.76x
TEVNet Income
11.72x
Debt TEV
0.01x
Three Year Compounded Annual Growth Rate Of Revenue
1.28%
Five Year Compounded Annual Growth Rate Of Revenue
-1.13%
Net Profit
$17.5M
Total Equity
$165M
Total Debt
$1.16M
Non-Profit Donations & Grants
Suppliers
Koch Industries, Inc. Wholesale: Raw Materials | Wichita, KS

Koch Industries, Inc. began as Wood River Oil and Refining Co. in 1940. The company is based in Wichita, Kansas and is one of the largest private companies in America. Its major industries include refining, chemicals & biofuels, process & pollution control equipment and technologies, minerals, fertilizers, polymers & fibers, commodity trading & service, forest & consumer products, and ranching.Koch companies have supported education and social progress. These philanthropic efforts include support for educational institutions, foundations and programs that study and promote market-based solutions to societal challenge. Koch also works to protect, conserve and enhance natural resources; Koch companies around the world have earned awards for safety, environmental excellence, community stewardship, innovation and customer service since January 2009.

Vibram SpA Other Manufacturing | Albizzate, Italy

Vibram SpA manufactures rubber soles and compounds for the outdoor. It offers soles for travel, casual, fashion, work and safety, military, law enforcement, and firefighting applications, rubber balls, discs, and bones, footwear, rubber compounds for lifestyle functions, and compounds for work and safety soles. The firm also provides rubber products for sports applications, such as rock and climbing, trekking and hiking, trail and multisports, motorcycling, bicycling, and snow sports, as well as work, military, hunting, and fishing markets. The company was founded in 1937 by Vitale Bramani and is headquartered in Albizzate, Italy.

Berkshire Hathaway, Inc. Power & Utilities | Greenwich, Connecticut

Berkshire Hathaway, Inc. provides property and casualty insurance and reinsurance, utilities and energy, freight rail transportation, finance, manufacturing, retailing, and services. It operates through following segments: GEICO, Berkshire Hathaway Reinsurance Group, Berkshire Hathaway Primary Group, Burlington Northern Santa Fe, LLC (BNSF), Berkshire Hathaway Energy, McLane Company, Manufacturing, and Service and Retailing. The GEICO segments involves in underwriting private passenger automobile insurance mainly by direct response methods. The Berkshire Hathaway Reinsurance Group segment consists of underwriting excess-of-loss and quota-share and facultative reinsurance worldwide. The Berkshire Hathaway Primary Group segment comprises of underwriting multiple lines of property and casualty insurance policies for primarily commercial accounts. The BNSF segment operates railroad systems in North America. The Berkshire Hathaway Energy segments deals with regulated electric and gas utility, including power generation and distribution activities, and real estate brokerage activities. The McLane Company segment offers wholesale distribution of groceries and non-food items. The Manufacturing segment includes industrial and end-user products, building products, and apparel. The Service and Retailing segment provides fractional aircraft ownership programs, aviation pilot training, electronic components distribution, and various retailing businesses, including automobile dealerships, and trailer and furniture leasing. The company was founded by Oliver Chace in 1839 and is headquartered in Omaha, NE.

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