Symbols / INSW Stock $78.08 +1.65% International Seaways, Inc.

Energy • Oil & Gas Midstream • United States • NYQ
INSW (Stock) Chart
O: — H: — L: — C: — V: —
SMA 20: SMA 50: SMA 200:
Stock Fundamentals
Scroll to Statements
Index EQUITY
Sector Energy
Industry Oil & Gas Midstream
CEO Ms. Lois K. Zabrocky
Exch · Country NYQ · United States
Market Cap 3.86B
Enterprise Value 4.21B
Income 309.11M
Sales 843.30M
FCF (ttm) 19.21M
Book/sh 40.89
Cash/sh 3.39
Employees 2,837
Insider 10d
IPO Nov 16, 2016
Div forward ($/yr)
Div TTM ($/yr)
Dividend Yield
Ex-Div Date
5Y Avg Yield
Yield vs 5Y Avg
Payout 47.03%
P/E 12.53
Forward P/E 17.72
PEG
P/S 4.58
P/B 1.91
P/C
EV/EBITDA 10.14
EV/Sales 4.99
Quick Ratio 3.63
Current Ratio 3.71
Debt/Eq 28.52
LT Debt/Eq
EPS (ttm) 6.23
EPS next Y 4.41
EPS Growth 254.40%
Revenue Growth 37.60%
EPS Gr Q/Q 255.90%
Rev Gr Q/Q
Earnings (next) 2026-05-07
Earnings (prior) 2026-02-26
ROA 7.11%
ROE 15.96%
ROIC
Gross Margin 61.69%
Oper. Margin 48.09%
Profit Margin 36.67%
Shs Outstand 49.43M
Shs Float 40.80M
Insider Own 17.11%
Instit Own 78.11%
Short Float 4.61%
Short Ratio 2.26
Short Interest 1.56M
52W High 79.45
vs 52W High -1.72%
52W Low 32.90
vs 52W Low 137.33%
Beta -0.22
Impl. Vol. 54.69%
Rel Volume 0.19
Avg Volume 575.56K
Volume 108.31K
Target (mean) $81.00
Tgt Median $86.00
Tgt Low $56.00
Tgt High $90.00
# Analysts 5
Recom Strong_buy
Prev Close $76.81
Price $78.08
Change 1.65%
About

International Seaways, Inc. owns and operates a fleet of oceangoing vessels for the transportation of crude oil and petroleum products in the international flag trade. The company operates in two segments: Crude Tankers and Product Carriers. It operates fleet of 70 vessels of VLCCs, Suezmaxes, and Aframaxes, as well as MRs, LR1, and LR2 product carrier. The company provides ship-to-ship (STS) lightering support services, such as hoses and fenders; and full-service STS lightering that includes lightering vessels. It also offers MR product carriers, including IMO III compliant for carrying edible oils, such as palm and vegetable oil, increasing flexibility when switching between cargo grades. The company serves independent and state-owned oil companies, oil traders, refinery operators, and international government entities. The company was formerly known as OSG International, Inc. and changed its name to International Seaways, Inc. in October 2016. International Seaways, Inc. was incorporated in 1999 and is headquartered in New York, New York.

Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus Mean price target
2. Current target Latest analyst target
3. DCF / Fair value Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$78.08
Low
$56.00
High
$90.00
Mean
$81.00

Latest analyst rating changes

Date Action Analyst Rating Change Price Target
2026-04-24 init Jefferies — → Buy $90
2026-04-22 main BTIG Buy → Buy $90
2026-03-09 main Deutsche Bank Buy → Buy $80
2026-02-26 main BTIG Buy → Buy $80
2026-02-04 main BTIG Buy → Buy $70
2025-05-08 main Jefferies Buy → Buy $48
2025-02-27 main Jefferies Buy → Buy $58
2024-11-14 main Jefferies Buy → Buy $60
2024-11-07 main Jefferies Buy → Buy $66
2024-10-23 down Stifel Buy → Hold $56
2024-08-08 main Jefferies Buy → Buy $66
2024-07-24 main Stifel Buy → Buy $72
2024-06-20 main Stifel Buy → Buy $68
2024-05-09 main Deutsche Bank Buy → Buy $66
2024-05-09 main Stifel Buy → Buy $66
2024-04-19 main Stifel Buy → Buy $64
2024-02-29 reit Jefferies Buy → Buy $66
2023-09-28 main BTIG Buy → Buy $55
2023-07-19 main Stifel Buy → Buy $58
2023-05-05 main Jefferies — → Buy $56
Insider Transactions

No recent insider transactions.

Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
843.30
-11.38%
951.61
-11.21%
1,071.78
+23.95%
864.66
Operating Revenue
843.30
-11.38%
951.61
-11.21%
1,071.78
+23.95%
864.66
Cost Of Revenue
486.68
+2.79%
473.45
+6.58%
444.24
+12.71%
394.15
Reconciled Cost Of Revenue
486.68
+2.79%
473.45
+6.58%
444.24
+12.71%
394.15
Gross Profit
356.62
-25.42%
478.16
-23.80%
627.54
+33.37%
470.52
Operating Expense
50.23
-4.51%
52.61
+10.81%
47.47
+2.42%
46.35
Selling General And Administration
50.23
-4.51%
52.61
+10.81%
47.47
+2.42%
46.35
General And Administrative Expense
50.23
-4.51%
52.61
+10.81%
47.47
+2.42%
46.35
Salaries And Wages
-0.51
+21.17%
-0.65
Other Gand A
50.23
-4.51%
52.61
+10.81%
47.47
+2.42%
46.35
Total Expenses
536.91
+2.06%
526.06
+6.99%
491.71
+11.63%
440.50
Operating Income
306.39
-28.00%
425.56
-26.64%
580.07
+36.75%
424.17
Total Operating Income As Reported
345.38
-24.13%
455.23
-26.03%
615.43
+38.81%
443.37
EBITDA
515.14
-16.21%
614.78
-18.58%
755.12
+35.79%
556.09
Normalized EBITDA
478.22
-18.27%
585.11
-19.16%
723.76
+34.31%
538.87
Reconciled Depreciation
163.59
+9.47%
149.44
+15.81%
129.04
+16.89%
110.39
EBIT
351.55
-24.45%
465.34
-25.67%
626.08
+40.47%
445.70
Total Unusual Items
36.92
+24.44%
29.67
-5.38%
31.36
+82.06%
17.22
Total Unusual Items Excluding Goodwill
36.92
+24.44%
29.67
-5.38%
31.36
+82.06%
17.22
Special Income Charges
36.92
+24.44%
29.67
-5.38%
31.36
+82.06%
17.22
Other Special Charges
2.60
-12.95%
2.99
-34.72%
4.58
+88.82%
2.42
Restructuring And Mergern Acquisition
0.00
0.00
Write Off
0.70
0.00
Net Income
309.26
-25.79%
416.72
-25.11%
556.45
+43.45%
387.89
Pretax Income
308.85
-25.69%
415.64
-25.82%
560.32
+44.42%
387.98
Net Non Operating Interest Income Expense
-35.09
+11.79%
-39.79
+23.19%
-51.80
+4.20%
-54.07
Interest Expense Non Operating
42.70
-14.08%
49.70
-24.42%
65.76
+13.93%
57.72
Net Interest Income
-35.09
+11.79%
-39.79
+23.19%
-51.80
+4.20%
-54.07
Interest Expense
42.70
-14.08%
49.70
-24.42%
65.76
+13.93%
57.72
Interest Income Non Operating
7.61
-23.27%
9.92
-28.98%
13.96
+282.23%
3.65
Interest Income
7.61
-23.27%
9.92
-28.98%
13.96
+282.23%
3.65
Other Income Expense
37.56
+25.73%
29.87
-6.81%
32.05
+79.26%
17.88
Other Non Operating Income Expenses
0.64
+214.85%
0.20
-71.06%
0.70
+1369.09%
-0.06
Gain On Sale Of Business
-2.32
0.00
Tax Provision
-0.41
+62.08%
-1.08
-127.95%
3.88
+4306.82%
0.09
Tax Rate For Calcs
0.00
+0.00%
0.00
+2934.24%
0.00
+3360.50%
0.00
Tax Effect Of Unusual Items
7.75
+24.44%
6.23
+2770.91%
0.22
+6200.34%
0.00
Net Income Including Noncontrolling Interests
309.26
-25.79%
416.72
-25.11%
556.45
+43.45%
387.89
Net Income From Continuing Operation Net Minority Interest
309.26
-25.79%
416.72
-25.11%
556.45
+43.45%
387.89
Net Income From Continuing And Discontinued Operation
309.26
-25.79%
416.72
-25.11%
556.45
+43.45%
387.89
Net Income Continuous Operations
309.26
-25.79%
416.72
-25.11%
556.45
+43.45%
387.89
Minority Interests
0.00
0.00
Normalized Income
280.09
-28.78%
393.29
-25.13%
525.31
+41.72%
370.67
Net Income Common Stockholders
309.11
-25.79%
416.55
-25.09%
556.04
+43.53%
387.40
Otherunder Preferred Stock Dividend
0.15
-13.48%
0.18
-55.83%
0.40
-17.76%
0.49
Diluted EPS
6.23
-25.66%
8.38
-25.51%
11.25
+44.79%
7.77
Basic EPS
6.27
-25.80%
8.45
-25.55%
11.35
+44.59%
7.85
Basic Average Shares
49.34
+0.13%
49.27
+0.60%
48.98
-0.82%
49.38
Diluted Average Shares
49.60
-0.17%
49.68
+0.51%
49.43
-0.83%
49.84
Diluted NI Availto Com Stockholders
309.11
-25.79%
416.55
-25.09%
556.04
+43.53%
387.40
Earnings From Equity Interest
0.00
0.00
-100.00%
0.71
Gain On Sale Of PPE
42.54
+30.25%
32.66
-9.12%
35.93
+82.90%
19.65
Provision For Doubtful Accounts
Rent Expense Supplemental
33.26
+11.47%
29.84
-24.27%
39.40
+22.63%
32.13
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Assets
2,668.64
+1.22%
2,636.40
+4.54%
2,521.82
-3.58%
2,615.33
Current Assets
367.05
-2.47%
376.32
-19.07%
464.98
-27.64%
642.62
Cash Cash Equivalents And Short Term Investments
166.92
+5.98%
157.51
-15.66%
186.76
-42.31%
323.74
Cash And Cash Equivalents
116.92
-25.77%
157.51
+24.26%
126.76
-47.99%
243.74
Other Short Term Investments
50.00
0.00
-100.00%
60.00
-25.00%
80.00
Receivables
191.72
-3.80%
199.29
-23.78%
261.47
-13.52%
302.36
Accounts Receivable
8.28
+92.04%
4.31
-56.32%
9.87
-3.34%
10.21
Gross Accounts Receivable
8.33
+89.47%
4.40
-56.29%
10.06
-3.93%
10.47
Allowance For Doubtful Accounts Receivable
-0.05
+39.53%
-0.09
+54.97%
-0.19
+26.82%
-0.26
Other Receivables
183.45
-5.92%
194.98
-22.50%
251.60
-13.88%
292.15
Inventory
0.61
-67.41%
1.88
+41.08%
1.33
+150.28%
0.53
Prepaid Assets
Hedging Assets Current
0.41
-80.48%
2.08
-59.06%
5.08
-27.28%
6.99
Other Current Assets
7.38
-52.58%
15.57
+50.55%
10.34
+14.97%
8.99
Total Non Current Assets
2,301.60
+1.84%
2,260.07
+9.88%
2,056.84
+4.26%
1,972.72
Net PPE
2,142.93
+1.63%
2,108.46
+8.32%
1,946.49
+4.83%
1,856.81
Gross PPE
2,649.52
+2.90%
2,574.82
+8.47%
2,373.76
+8.45%
2,188.72
Accumulated Depreciation
-506.58
-8.63%
-466.36
-9.15%
-427.27
-28.73%
-331.90
Construction In Progress
57.73
+55.93%
37.02
+217.22%
11.67
-90.58%
123.94
Other Properties
18.11
-41.93%
31.19
+7.46%
29.02
-51.91%
60.35
Investments And Advances
36.41
Long Term Equity Investment
36.41
Non Current Deferred Assets
109.26
+21.12%
90.21
+27.27%
70.88
+8.03%
65.61
Non Current Prepaid Assets
33.05
-6.56%
35.37
+11.41%
31.75
-10.80%
35.59
Other Non Current Assets
16.35
-35.19%
25.23
+283.99%
6.57
-34.56%
10.04
Total Liabilities Net Minority Interest
648.37
-16.91%
780.35
-3.07%
805.06
-28.60%
1,127.58
Current Liabilities
98.89
-24.47%
130.94
-33.05%
195.57
-24.02%
257.39
Payables And Accrued Expenses
60.26
+8.59%
55.49
+20.09%
46.21
-2.02%
47.17
Payables
12.61
+7.63%
11.72
+56.37%
7.50
+67.67%
4.47
Accounts Payable
1.66
-71.60%
5.83
-11.29%
6.57
+259.80%
1.83
Other Payable
10.96
+86.00%
5.89
+536.97%
0.93
-65.02%
2.64
Current Accrued Expenses
47.65
+8.85%
43.77
+13.06%
38.72
-9.32%
42.70
Total Tax Payable
0.00
Income Tax Payable
0.00
Current Debt And Capital Lease Obligation
28.97
-55.20%
64.67
-53.02%
137.67
-33.27%
206.32
Current Debt
25.79
-48.48%
50.05
-60.73%
127.45
-21.74%
162.85
Other Current Borrowings
25.79
-48.48%
50.05
-60.73%
127.45
-21.74%
162.85
Current Capital Lease Obligation
3.18
-78.23%
14.62
+42.98%
10.22
-76.48%
43.47
Current Deferred Liabilities
5.98
-23.70%
7.83
+25.46%
6.24
+110.80%
2.96
Current Deferred Revenue
5.98
-23.70%
7.83
+25.46%
6.24
+110.80%
2.96
Other Current Liabilities
3.68
+25.41%
2.94
-46.12%
5.45
+479.06%
0.94
Total Non Current Liabilities Net Minority Interest
549.47
-15.39%
649.41
+6.55%
609.49
-29.96%
870.19
Long Term Debt And Capital Lease Obligation
547.25
-15.43%
647.07
+6.63%
606.86
-30.11%
868.32
Long Term Debt
541.29
-15.21%
638.35
+7.24%
595.23
-30.83%
860.58
Long Term Capital Lease Obligation
5.95
-31.68%
8.71
-25.07%
11.63
+50.27%
7.74
Other Non Current Liabilities
2.23
-4.99%
2.35
-10.73%
2.63
+40.16%
1.88
Stockholders Equity
2,020.28
+8.85%
1,856.05
+8.11%
1,716.76
+15.39%
1,487.75
Common Stock Equity
2,020.28
+8.85%
1,856.05
+8.11%
1,716.76
+15.39%
1,487.75
Capital Stock
1,507.33
+0.17%
1,504.77
+0.92%
1,490.99
-0.75%
1,502.23
Common Stock
1,507.33
+0.17%
1,504.77
+0.92%
1,490.99
-0.75%
1,502.23
Share Issued
49.40
+0.43%
49.19
+0.55%
48.93
-0.40%
49.12
Ordinary Shares Number
49.40
+0.43%
49.19
+0.55%
48.93
-0.40%
49.12
Retained Earnings
523.79
+45.85%
359.14
+58.33%
226.83
+1157.65%
-21.45
Gains Losses Not Affecting Retained Earnings
-10.84
-37.90%
-7.86
-639.51%
-1.06
-115.26%
6.96
Minority Interest
0.00
0.00
Other Equity Adjustments
-10.84
-37.90%
-7.86
-639.51%
-1.06
-115.26%
6.96
Total Equity Gross Minority Interest
2,020.28
+8.85%
1,856.05
+8.11%
1,716.76
+15.39%
1,487.75
Total Capitalization
2,561.57
+2.69%
2,494.40
+7.89%
2,311.99
-1.55%
2,348.33
Working Capital
268.15
+9.28%
245.39
-8.92%
269.41
-30.07%
385.23
Invested Capital
2,587.36
+1.69%
2,544.45
+4.31%
2,439.43
-2.86%
2,511.18
Total Debt
576.22
-19.04%
711.74
-4.40%
744.53
-30.72%
1,074.64
Net Debt
450.16
-15.21%
530.90
-10.91%
595.92
-23.57%
779.69
Capital Lease Obligations
9.14
-60.84%
23.33
+6.76%
21.85
-57.32%
51.21
Net Tangible Assets
2,020.28
+8.85%
1,856.05
+8.11%
1,716.76
+15.39%
1,487.75
Tangible Book Value
2,020.28
+8.85%
1,856.05
+8.11%
1,716.76
+15.39%
1,487.75
Derivative Product Liabilities
0.00
Financial Assets
0.01
-99.38%
0.80
-30.53%
1.15
-75.27%
4.66
Interest Payable
5.97
+486.74%
1.02
-51.84%
2.11
-72.63%
7.72
Investmentsin Associatesat Cost
Investmentsin Joint Venturesat Cost
36.41
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
380.05
-30.54%
547.14
-20.52%
688.40
+139.19%
287.80
Cash Flow From Continuing Operating Activities
380.05
-30.54%
547.14
-20.52%
688.40
+139.19%
287.80
Net Income From Continuing Operations
309.26
-25.79%
416.72
-25.11%
556.45
+43.45%
387.89
Depreciation Amortization Depletion
163.59
+9.47%
149.44
+15.81%
129.04
+16.89%
110.39
Depreciation And Amortization
163.59
+9.47%
149.44
+15.81%
129.04
+16.89%
110.39
Other Non Cash Items
-75.54
-31.00%
-57.66
-125.10%
-25.62
+22.22%
-32.94
Stock Based Compensation
8.70
-3.34%
9.00
+5.66%
8.52
+26.27%
6.75
Asset Impairment Charge
0.00
-100.00%
8.70
0.00
-100.00%
1.70
Operating Gains Losses
-42.22
-2.09%
-41.36
-19.49%
-34.61
-56.41%
-22.13
Gain Loss On Sale Of PPE
-42.54
-2.85%
-41.36
-15.09%
-35.93
-68.36%
-21.34
Change In Working Capital
16.27
-73.89%
62.29
+14.03%
54.63
+132.72%
-166.97
Change In Receivables
7.63
-87.62%
61.64
+44.67%
42.61
+123.33%
-182.68
Change In Payables And Accrued Expense
10.49
+1213.38%
-0.94
-110.79%
8.73
-33.34%
13.10
Change In Payable
10.49
+1213.38%
-0.94
-110.79%
8.73
-33.34%
13.10
Change In Account Payable
10.49
+1213.38%
-0.94
-110.79%
8.73
-33.34%
13.10
Change In Other Working Capital
-1.86
-216.79%
1.59
-51.57%
3.28
+25.83%
2.61
Investing Cash Flow
-141.31
+8.84%
-155.02
-24.75%
-124.27
-390.35%
42.80
Cash Flow From Continuing Investing Activities
-141.31
+8.84%
-155.02
-24.75%
-124.27
-390.35%
42.80
Net PPE Purchase And Sale
251.26
+275.60%
66.89
+1.35%
66.00
-33.44%
99.16
Purchase Of PPE
-5.00
0.00
0.00
Sale Of PPE
251.26
+249.48%
71.89
+8.93%
66.00
-33.44%
99.16
Capital Expenditure
-341.92
-19.90%
-285.18
-38.01%
-206.63
-77.08%
-116.69
Capital Expenditure Reported
-341.92
-22.04%
-280.18
-35.60%
-206.63
-77.08%
-116.69
Net Investment Purchase And Sale
-50.65
-186.93%
58.27
+256.14%
16.36
+120.81%
-78.64
Purchase Of Investment
-50.65
+60.03%
-126.73
+46.89%
-238.64
-127.28%
-105.00
Sale Of Investment
0.00
-100.00%
185.00
-27.45%
255.00
+867.30%
26.36
Net Business Purchase And Sale
0.00
0.00
-100.00%
138.97
Purchase Of Business
Gain Loss On Sale Of Business
0.00
0.00
-100.00%
9.51
Financing Cash Flow
-279.32
+22.71%
-361.38
+46.94%
-681.12
-266.61%
-185.79
Cash Flow From Continuing Financing Activities
-279.32
+22.71%
-361.38
+46.94%
-681.12
-266.61%
-185.79
Net Issuance Payments Of Debt
-116.59
-197.84%
-39.15
+88.76%
-348.30
-291.68%
-88.92
Issuance Of Debt
411.49
+242.91%
120.00
-45.38%
219.72
-70.67%
749.05
Repayment Of Debt
-528.09
-231.83%
-159.15
+71.98%
-568.01
+32.22%
-837.98
Long Term Debt Issuance
411.49
+242.91%
120.00
-45.38%
219.72
-70.67%
749.05
Long Term Debt Payments
-528.09
-231.83%
-159.15
+71.98%
-568.01
+32.22%
-837.98
Net Long Term Debt Issuance
-116.59
-197.84%
-39.15
+88.76%
-348.30
-291.68%
-88.92
Short Term Debt Issuance
120.00
+140.00%
50.00
0.00
Short Term Debt Payments
-70.00
-40.00%
-50.00
0.00
Net Short Term Debt Issuance
50.00
0.00
0.00
Net Common Stock Issuance
0.00
+100.00%
-25.00
-79.24%
-13.95
+30.32%
-20.02
Common Stock Payments
0.00
+100.00%
-25.00
-79.24%
-13.95
+30.32%
-20.02
Common Stock Dividend Paid
-144.61
+49.16%
-284.42
+7.70%
-308.15
-341.22%
-69.84
Cash Dividends Paid
-144.61
+49.16%
-284.42
+7.70%
-308.15
-341.22%
-69.84
Repurchase Of Capital Stock
0.00
+100.00%
-25.00
-79.24%
-13.95
+30.32%
-20.02
Net Other Financing Charges
-18.12
-41.42%
-12.81
-19.54%
-10.72
-53.00%
-7.01
Changes In Cash
-40.58
-232.00%
30.75
+126.28%
-116.98
-180.78%
144.81
Beginning Cash Position
157.51
+24.26%
126.76
-47.99%
243.74
+146.37%
98.93
End Cash Position
116.92
-25.77%
157.51
+24.26%
126.76
-47.99%
243.74
Free Cash Flow
38.13
-85.44%
261.96
-45.63%
481.77
+181.55%
171.12
Dividend Received CFO
0.00
0.00
-100.00%
3.11
Earnings Losses From Equity Investments
-0.24
-1305.00%
0.02
+100.19%
-10.30
Sale Of Business
0.00
0.00
-100.00%
138.97
SEC Filings

Recent 10-K, 10-Q, 8-K, and Form 4 (insider) filings.

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