AG˹ٷ

STOCK TITAN

[8-K] KLA Corporation Reports Material Event

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(Neutral)
Filing Sentiment
(Neutral)
Form Type
8-K
Rhea-AI Filing Summary

Q2 2025 results: Operating revenue climbed 16% YoY to $192.8 m, led by Regulated Energy (+18%) and Unregulated Energy (+16%). Operating income rose 23% to $50.3 m. Net income increased 31% to $23.9 m; diluted EPS $1.02, up 25%.

Six-month view: Revenue grew 19% to $491.5 m; net income $74.8 m (+16%); diluted EPS $3.22 (+11%). Operating cash flow fell 17% to $139.2 m while capex expanded 35% to $213.9 m, generating negative free cash flow.

Balance sheet: Equity $1.50 bn; long-term debt $1.25 bn; short-term borrowing $245 m (up $49 m YTD). Cash declined to $1.5 m. Construction work-in-progress reached $199 m, reflecting accelerated project spend.

Regulatory & strategic updates: Delaware and Maryland gas rate orders add ~$9.6 m of annual revenue; Florida electric settlement to contribute ~$8.6 m starting 3Q25. Multiple pipeline, storm-hardening and RNG projects underpin growth. The November-23 Florida City Gas acquisition continues to be integrated with residual transition costs ($0.8 m YTD).

Capital actions: 486 k new shares issued through ATM raised $61.2 m. Total shares outstanding 23.5 m (+5% YoY).

Risultati Q2 2025: I ricavi operativi sono aumentati del 16% su base annua, raggiungendo 192,8 milioni di dollari, trainati dall'Energia Regolamentata (+18%) e dall'Energia Non Regolamentata (+16%). L'utile operativo è cresciuto del 23%, attestandosi a 50,3 milioni di dollari. L'utile netto è salito del 31% a 23,9 milioni di dollari; l'utile per azione diluito è di 1,02 dollari, in aumento del 25%.

Vista semestrale: I ricavi sono aumentati del 19% a 491,5 milioni di dollari; l'utile netto è di 74,8 milioni (+16%); l'utile per azione diluito è di 3,22 dollari (+11%). Il flusso di cassa operativo è diminuito del 17% a 139,2 milioni, mentre gli investimenti in capitale sono aumentati del 35% a 213,9 milioni, generando un flusso di cassa libero negativo.

Bilancio: Patrimonio netto pari a 1,50 miliardi di dollari; debito a lungo termine di 1,25 miliardi; indebitamento a breve termine di 245 milioni (in aumento di 49 milioni da inizio anno). La liquidità è scesa a 1,5 milioni. I lavori in corso di costruzione hanno raggiunto 199 milioni, riflettendo una spesa accelerata sui progetti.

Aggiornamenti normativi e strategici: Gli ordini tariffari sul gas in Delaware e Maryland aggiungono circa 9,6 milioni di dollari di ricavi annui; l'accordo sull'elettricità in Florida contribuirà con circa 8,6 milioni a partire dal terzo trimestre 2025. Diversi progetti di pipeline, rafforzamento contro tempeste e gas rinnovabile supportano la crescita. L'acquisizione di Florida City Gas di novembre 2023 è ancora in fase di integrazione, con costi di transizione residui di 0,8 milioni da inizio anno.

Azioni sul capitale: Sono state emesse 486 mila nuove azioni tramite ATM, raccogliendo 61,2 milioni di dollari. Il totale delle azioni in circolazione è di 23,5 milioni (+5% su base annua).

Resultados del 2T 2025: Los ingresos operativos aumentaron un 16% interanual, alcanzando 192,8 millones de dólares, impulsados por Energía Regulada (+18%) y Energía No Regulada (+16%). El ingreso operativo creció un 23%, llegando a 50,3 millones de dólares. La utilidad neta subió un 31% a 23,9 millones; la utilidad diluida por acción fue de 1,02 dólares, un aumento del 25%.

Perspectiva semestral: Los ingresos crecieron un 19% hasta 491,5 millones; la utilidad neta fue de 74,8 millones (+16%); la utilidad diluida por acción fue de 3,22 dólares (+11%). El flujo de caja operativo cayó un 17% a 139,2 millones, mientras que la inversión en capital creció un 35% a 213,9 millones, generando flujo de caja libre negativo.

Balance: Patrimonio neto de 1,50 mil millones; deuda a largo plazo de 1,25 mil millones; préstamos a corto plazo de 245 millones (aumentaron 49 millones en el año). El efectivo disminuyó a 1,5 millones. El trabajo en construcción alcanzó 199 millones, reflejando un gasto acelerado en proyectos.

Actualizaciones regulatorias y estratégicas: Las órdenes de tarifas de gas en Delaware y Maryland añaden aproximadamente 9,6 millones de dólares en ingresos anuales; el acuerdo eléctrico de Florida contribuirá con unos 8,6 millones a partir del tercer trimestre de 2025. Varios proyectos de tuberías, fortalecimiento contra tormentas y gas renovable respaldan el crecimiento. La adquisición de Florida City Gas en noviembre de 2023 sigue en proceso de integración, con costos residuales de transición de 0,8 millones en el año.

Acciones de capital: Se emitieron 486 mil nuevas acciones mediante ATM, recaudando 61,2 millones. El total de acciones en circulación es de 23,5 millones (+5% interanual).

2025� 2분기 실적: 운영 수익은 전년 대� 16% 증가� 1� 9,280� 달러�, 규제 에너지(+18%)와 비규� 에너지(+16%)가 주도했습니다. 영업이익은 23% 증가� 5,030� 달러� 기록했습니다. 순이익은 31% 증가� 2,390� 달러였으며, 희석 주당순이익은 1.02달러� 25% 상승했습니다.

6개월 실적 개요: 매출은 19% 증가� 4� 9,150� 달러, 순이익은 7,480� 달러(+16%), 희석 주당순이익은 3.22달러(+11%)였습니�. 영업 현금 흐름은 17% 감소� 1� 3,920� 달러였�, 자본� 지출은 35% 증가� 2� 1,390� 달러� 자유 현금 흐름은 마이너스� 기록했습니다.

댶차대조표: 자본금은 15� 달러, 장기 부채는 12� 5천만 달러, 단기 차입금은 2� 4,500� 달러(연초 대� 4,900� 달러 증가)입니�. 현금 보유액은 150� 달러� 감소했습니다. 진행 중인 건설 작업은 1� 9,900� 달러� 달하�, 프로젝트 지출이 가속화� 것을 반영합니�.

규제 � 전략 업데이트: 델라웨어와 메릴랜드� 가� 요금 명령으로 연간 � 960� 달러� 수익� 추가되었으며, 플로리다 전기 합의� 2025� 3분기부� � 860� 달러� 기여� 예정입니�. 여러 파이프라�, 폭풍 대� 강화 � RNG 프로젝트가 성장� 뒷받침합니다. 2023� 11� 플로리다 시티 가� 인수� 계속 통합 중이�, 올해 누적 80� 달러� 잔여 전환 비용� 발생했습니다.

자본 조치: ATM� 통해 48� 6천주� 신주가 발행되어 6,120� 달러� 조달했습니다. � 발행 주식 수는 2,350� 주로 전년 대� 5% 증가했습니다.

Résultats T2 2025 : Le chiffre d'affaires opérationnel a augmenté de 16 % en glissement annuel pour atteindre 192,8 millions de dollars, porté par l'énergie régulée (+18 %) et l'énergie non régulée (+16 %). Le résultat opérationnel a progressé de 23 % à 50,3 millions de dollars. Le résultat net a augmenté de 31 % à 23,9 millions ; le BPA dilué s'élève à 1,02 $, en hausse de 25 %.

Vue semestrielle : Le chiffre d'affaires a cru de 19 % pour atteindre 491,5 millions ; le résultat net s'établit à 74,8 millions (+16 %) ; le BPA dilué est de 3,22 $ (+11 %). Les flux de trésorerie opérationnels ont diminué de 17 % à 139,2 millions, tandis que les dépenses d'investissement ont augmenté de 35 % à 213,9 millions, générant un flux de trésorerie libre négatif.

Bilan : Capitaux propres de 1,50 milliard ; dette à long terme de 1,25 milliard ; emprunts à court terme de 245 millions (en hausse de 49 millions depuis le début de l'année). La trésorerie a diminué à 1,5 million. Les travaux en cours de construction ont atteint 199 millions, reflétant une accélération des dépenses de projets.

Mises à jour réglementaires et stratégiques : Les ordonnances tarifaires sur le gaz dans le Delaware et le Maryland ajoutent environ 9,6 millions de revenus annuels ; le règlement électrique en Floride devrait contribuer à hauteur d'environ 8,6 millions à partir du T3 2025. Plusieurs projets de pipelines, de renforcement contre les tempêtes et de gaz renouvelable soutiennent la croissance. L'acquisition de Florida City Gas en novembre 2023 est toujours en cours d'intégration, avec des coûts de transition résiduels de 0,8 million cette année.

Actions sur le capital : 486 000 nouvelles actions émises via ATM ont permis de lever 61,2 millions. Le nombre total d'actions en circulation est de 23,5 millions (+5 % en glissement annuel).

Ergebnisse Q2 2025: Der operative Umsatz stieg im Jahresvergleich um 16 % auf 192,8 Mio. USD, getragen von regulierter Energie (+18 %) und unregulierter Energie (+16 %). Das operative Ergebnis erhöhte sich um 23 % auf 50,3 Mio. USD. Der Nettogewinn stieg um 31 % auf 23,9 Mio. USD; das verwässerte Ergebnis je Aktie lag bei 1,02 USD, ein Plus von 25 %.

𳦳DzԲٲü: Der Umsatz wuchs um 19 % auf 491,5 Mio. USD; der Nettogewinn betrug 74,8 Mio. USD (+16 %); das verwässerte Ergebnis je Aktie lag bei 3,22 USD (+11 %). Der operative Cashflow sank um 17 % auf 139,2 Mio. USD, während die Investitionsausgaben um 35 % auf 213,9 Mio. USD stiegen, was zu einem negativen freien Cashflow führte.

Bilanz: Eigenkapital 1,50 Mrd. USD; langfristige Schulden 1,25 Mrd. USD; kurzfristige Verbindlichkeiten 245 Mio. USD (plus 49 Mio. USD seit Jahresbeginn). Die liquiden Mittel sanken auf 1,5 Mio. USD. Die laufenden Bauarbeiten beliefen sich auf 199 Mio. USD, was eine beschleunigte Projektinvestition widerspiegelt.

Regulatorische und strategische Updates: Gaspreisanordnungen in Delaware und Maryland fügen ca. 9,6 Mio. USD Jahresumsatz hinzu; die Stromvereinbarung in Florida wird ab Q3 2025 ca. 8,6 Mio. USD beitragen. Mehrere Pipeline-, Sturmresistenz- und RNG-Projekte untermauern das Wachstum. Die Übernahme von Florida City Gas im November 2023 wird weiterhin integriert, mit Restübergangskosten von 0,8 Mio. USD im laufenden Jahr.

辱ٲßԲ󳾱: Durch die Ausgabe von 486.000 neuen Aktien über ATM wurden 61,2 Mio. USD eingenommen. Die Gesamtzahl der ausstehenden Aktien beträgt 23,5 Mio. (+5 % im Jahresvergleich).

Positive
  • EPS up 25% YoY to $1.02 in Q2 2025
  • Revenue grew 16% on both regulated and unregulated strength
  • Successful rate cases in DE, MD and FL add ~$18 m annual revenue
  • ATM equity raise of $61.2 m bolsters capital for growth projects
Negative
  • Operating cash flow down 17%, creating negative free cash flow
  • Short-term borrowing rose 25% to $245 m, increasing leverage
  • Share dilution of 486 k shares issued YTD
  • Cash balance only $1.5 m, raising liquidity attention

Insights

TL;DR: Strong top-line and EPS growth plus regulatory wins; near-term cash flow tightness manageable.

Chesapeake Utilities posted double-digit revenue and EPS gains, outpacing typical utility peer growth thanks to customer additions, the FCG acquisition and timely rate relief. Operating margin improved 160 bps as fuel costs normalized. Approved rate cases in DE, MD and FL lock in roughly $18 m incremental annual revenue, supporting future earnings visibility. Equity raised via ATM minimizes refinancing risk and keeps total-capital leverage near 46%, below many regulated peers. Overall trajectory remains earnings-accretive.

TL;DR: Earnings up, but free-cash-flow deficit and higher short-term debt temper credit outlook.

Despite robust earnings, operating cash fell 17% and capex surged, producing a ~$75 m free-cash deficit that was bridged by revolver draws. Short-term borrowings now exceed 9% of capitalization, exposing the company to interest-rate volatility. The share count rose 5%, diluting future per-share gains. Liquidity is thin with only $1.5 m cash on hand, heightening reliance on external funding until new projects enter service. Risk profile remains stable but warrants monitoring.

Risultati Q2 2025: I ricavi operativi sono aumentati del 16% su base annua, raggiungendo 192,8 milioni di dollari, trainati dall'Energia Regolamentata (+18%) e dall'Energia Non Regolamentata (+16%). L'utile operativo è cresciuto del 23%, attestandosi a 50,3 milioni di dollari. L'utile netto è salito del 31% a 23,9 milioni di dollari; l'utile per azione diluito è di 1,02 dollari, in aumento del 25%.

Vista semestrale: I ricavi sono aumentati del 19% a 491,5 milioni di dollari; l'utile netto è di 74,8 milioni (+16%); l'utile per azione diluito è di 3,22 dollari (+11%). Il flusso di cassa operativo è diminuito del 17% a 139,2 milioni, mentre gli investimenti in capitale sono aumentati del 35% a 213,9 milioni, generando un flusso di cassa libero negativo.

Bilancio: Patrimonio netto pari a 1,50 miliardi di dollari; debito a lungo termine di 1,25 miliardi; indebitamento a breve termine di 245 milioni (in aumento di 49 milioni da inizio anno). La liquidità è scesa a 1,5 milioni. I lavori in corso di costruzione hanno raggiunto 199 milioni, riflettendo una spesa accelerata sui progetti.

Aggiornamenti normativi e strategici: Gli ordini tariffari sul gas in Delaware e Maryland aggiungono circa 9,6 milioni di dollari di ricavi annui; l'accordo sull'elettricità in Florida contribuirà con circa 8,6 milioni a partire dal terzo trimestre 2025. Diversi progetti di pipeline, rafforzamento contro tempeste e gas rinnovabile supportano la crescita. L'acquisizione di Florida City Gas di novembre 2023 è ancora in fase di integrazione, con costi di transizione residui di 0,8 milioni da inizio anno.

Azioni sul capitale: Sono state emesse 486 mila nuove azioni tramite ATM, raccogliendo 61,2 milioni di dollari. Il totale delle azioni in circolazione è di 23,5 milioni (+5% su base annua).

Resultados del 2T 2025: Los ingresos operativos aumentaron un 16% interanual, alcanzando 192,8 millones de dólares, impulsados por Energía Regulada (+18%) y Energía No Regulada (+16%). El ingreso operativo creció un 23%, llegando a 50,3 millones de dólares. La utilidad neta subió un 31% a 23,9 millones; la utilidad diluida por acción fue de 1,02 dólares, un aumento del 25%.

Perspectiva semestral: Los ingresos crecieron un 19% hasta 491,5 millones; la utilidad neta fue de 74,8 millones (+16%); la utilidad diluida por acción fue de 3,22 dólares (+11%). El flujo de caja operativo cayó un 17% a 139,2 millones, mientras que la inversión en capital creció un 35% a 213,9 millones, generando flujo de caja libre negativo.

Balance: Patrimonio neto de 1,50 mil millones; deuda a largo plazo de 1,25 mil millones; préstamos a corto plazo de 245 millones (aumentaron 49 millones en el año). El efectivo disminuyó a 1,5 millones. El trabajo en construcción alcanzó 199 millones, reflejando un gasto acelerado en proyectos.

Actualizaciones regulatorias y estratégicas: Las órdenes de tarifas de gas en Delaware y Maryland añaden aproximadamente 9,6 millones de dólares en ingresos anuales; el acuerdo eléctrico de Florida contribuirá con unos 8,6 millones a partir del tercer trimestre de 2025. Varios proyectos de tuberías, fortalecimiento contra tormentas y gas renovable respaldan el crecimiento. La adquisición de Florida City Gas en noviembre de 2023 sigue en proceso de integración, con costos residuales de transición de 0,8 millones en el año.

Acciones de capital: Se emitieron 486 mil nuevas acciones mediante ATM, recaudando 61,2 millones. El total de acciones en circulación es de 23,5 millones (+5% interanual).

2025� 2분기 실적: 운영 수익은 전년 대� 16% 증가� 1� 9,280� 달러�, 규제 에너지(+18%)와 비규� 에너지(+16%)가 주도했습니다. 영업이익은 23% 증가� 5,030� 달러� 기록했습니다. 순이익은 31% 증가� 2,390� 달러였으며, 희석 주당순이익은 1.02달러� 25% 상승했습니다.

6개월 실적 개요: 매출은 19% 증가� 4� 9,150� 달러, 순이익은 7,480� 달러(+16%), 희석 주당순이익은 3.22달러(+11%)였습니�. 영업 현금 흐름은 17% 감소� 1� 3,920� 달러였�, 자본� 지출은 35% 증가� 2� 1,390� 달러� 자유 현금 흐름은 마이너스� 기록했습니다.

댶차대조표: 자본금은 15� 달러, 장기 부채는 12� 5천만 달러, 단기 차입금은 2� 4,500� 달러(연초 대� 4,900� 달러 증가)입니�. 현금 보유액은 150� 달러� 감소했습니다. 진행 중인 건설 작업은 1� 9,900� 달러� 달하�, 프로젝트 지출이 가속화� 것을 반영합니�.

규제 � 전략 업데이트: 델라웨어와 메릴랜드� 가� 요금 명령으로 연간 � 960� 달러� 수익� 추가되었으며, 플로리다 전기 합의� 2025� 3분기부� � 860� 달러� 기여� 예정입니�. 여러 파이프라�, 폭풍 대� 강화 � RNG 프로젝트가 성장� 뒷받침합니다. 2023� 11� 플로리다 시티 가� 인수� 계속 통합 중이�, 올해 누적 80� 달러� 잔여 전환 비용� 발생했습니다.

자본 조치: ATM� 통해 48� 6천주� 신주가 발행되어 6,120� 달러� 조달했습니다. � 발행 주식 수는 2,350� 주로 전년 대� 5% 증가했습니다.

Résultats T2 2025 : Le chiffre d'affaires opérationnel a augmenté de 16 % en glissement annuel pour atteindre 192,8 millions de dollars, porté par l'énergie régulée (+18 %) et l'énergie non régulée (+16 %). Le résultat opérationnel a progressé de 23 % à 50,3 millions de dollars. Le résultat net a augmenté de 31 % à 23,9 millions ; le BPA dilué s'élève à 1,02 $, en hausse de 25 %.

Vue semestrielle : Le chiffre d'affaires a cru de 19 % pour atteindre 491,5 millions ; le résultat net s'établit à 74,8 millions (+16 %) ; le BPA dilué est de 3,22 $ (+11 %). Les flux de trésorerie opérationnels ont diminué de 17 % à 139,2 millions, tandis que les dépenses d'investissement ont augmenté de 35 % à 213,9 millions, générant un flux de trésorerie libre négatif.

Bilan : Capitaux propres de 1,50 milliard ; dette à long terme de 1,25 milliard ; emprunts à court terme de 245 millions (en hausse de 49 millions depuis le début de l'année). La trésorerie a diminué à 1,5 million. Les travaux en cours de construction ont atteint 199 millions, reflétant une accélération des dépenses de projets.

Mises à jour réglementaires et stratégiques : Les ordonnances tarifaires sur le gaz dans le Delaware et le Maryland ajoutent environ 9,6 millions de revenus annuels ; le règlement électrique en Floride devrait contribuer à hauteur d'environ 8,6 millions à partir du T3 2025. Plusieurs projets de pipelines, de renforcement contre les tempêtes et de gaz renouvelable soutiennent la croissance. L'acquisition de Florida City Gas en novembre 2023 est toujours en cours d'intégration, avec des coûts de transition résiduels de 0,8 million cette année.

Actions sur le capital : 486 000 nouvelles actions émises via ATM ont permis de lever 61,2 millions. Le nombre total d'actions en circulation est de 23,5 millions (+5 % en glissement annuel).

Ergebnisse Q2 2025: Der operative Umsatz stieg im Jahresvergleich um 16 % auf 192,8 Mio. USD, getragen von regulierter Energie (+18 %) und unregulierter Energie (+16 %). Das operative Ergebnis erhöhte sich um 23 % auf 50,3 Mio. USD. Der Nettogewinn stieg um 31 % auf 23,9 Mio. USD; das verwässerte Ergebnis je Aktie lag bei 1,02 USD, ein Plus von 25 %.

𳦳DzԲٲü: Der Umsatz wuchs um 19 % auf 491,5 Mio. USD; der Nettogewinn betrug 74,8 Mio. USD (+16 %); das verwässerte Ergebnis je Aktie lag bei 3,22 USD (+11 %). Der operative Cashflow sank um 17 % auf 139,2 Mio. USD, während die Investitionsausgaben um 35 % auf 213,9 Mio. USD stiegen, was zu einem negativen freien Cashflow führte.

Bilanz: Eigenkapital 1,50 Mrd. USD; langfristige Schulden 1,25 Mrd. USD; kurzfristige Verbindlichkeiten 245 Mio. USD (plus 49 Mio. USD seit Jahresbeginn). Die liquiden Mittel sanken auf 1,5 Mio. USD. Die laufenden Bauarbeiten beliefen sich auf 199 Mio. USD, was eine beschleunigte Projektinvestition widerspiegelt.

Regulatorische und strategische Updates: Gaspreisanordnungen in Delaware und Maryland fügen ca. 9,6 Mio. USD Jahresumsatz hinzu; die Stromvereinbarung in Florida wird ab Q3 2025 ca. 8,6 Mio. USD beitragen. Mehrere Pipeline-, Sturmresistenz- und RNG-Projekte untermauern das Wachstum. Die Übernahme von Florida City Gas im November 2023 wird weiterhin integriert, mit Restübergangskosten von 0,8 Mio. USD im laufenden Jahr.

辱ٲßԲ󳾱: Durch die Ausgabe von 486.000 neuen Aktien über ATM wurden 61,2 Mio. USD eingenommen. Die Gesamtzahl der ausstehenden Aktien beträgt 23,5 Mio. (+5 % im Jahresvergleich).

KLA CORP false 0000319201 0000319201 2025-08-07 2025-08-07
 
 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

 

FORM 8-K

 

 

CURRENT REPORT

Pursuant to Section 13 or 15(d)

of The Securities Exchange Act of 1934

Date of Report (Date of earliest event reported): August 7, 2025

 

 

KLA CORPORATION

(Exact name of registrant as specified in its charter)

 

 

 

Delaware   000-09992   04-2564110

(State or other jurisdiction

of incorporation)

 

(Commission

File Number)

 

(I.R.S. Employer

Identification No.)

 

One Technology Drive Milpitas California   95035
(Address of principal executive offices)   (Zip Code)

Registrant’s telephone number, including area code: (408) 875-3000

(Former name or former address, if changed since last report)

 

 

Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions:

 

Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)

 

Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)

 

Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))

 

Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))

Securities registered pursuant to Section 12(b) of the Act:

 

Title of each class

 

Trading

Symbol(s)

 

Name of each exchange

on which registered

Common Stock, $0.001 par value per share   KLAC   The Nasdaq Stock Market, LLC
Indicate by check    
    The Nasdaq Global Select Market

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If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act. ☐

 

 
 


Item 5.02

Departure of Directors or Certain Officers; Election of Directors; Appointment of Certain Officers; Compensatory Arrangements of Certain Officers.

On August 7, 2025, Gary Moore and Emiko Higashi notified the Board of Directors (the “Board”) of KLA Corporation (the “Company”) of their respective decision to retire from the Board and the applicable committees of the Board, effective at the Company’s 2025 annual meeting of stockholders (the “Annual Meeting”). Each of Mr. Moore’s and Ms. Higashi’s retirements is not the result of any disagreement with the Company on any matter relating to the operations, policies or practices of the Company.

The Board expects to nominate Tracy Embree and Jason Conley as directors for the Board, to be elected at the Annual Meeting. If elected, Ms. Embree will serve on the Compensation and Talent Committee (the “Compensation Committee”) and Mr. Conley will serve on the Audit Committee (the “Audit Committee”) of the Board.

Ms. Embree is the former President of Otis Americas, a division of Otis Worldwide Corporation (“Otis”), the world’s leading elevator and escalator manufacturing, installation and service company, having served in that role from October 2023 to April 2025. Prior to joining Otis, Ms. Embree spent 23 years with Cummins Inc. in various global leadership roles, including President of the Distribution Business. Ms. Embree has served on the Board of Directors for Lennox International Inc. since June 2025 and previously served on the Board of Directors for Louisiana-Pacific Corporation from February 2016 to May 2025. Ms. Embree holds a bachelor’s degree in chemical engineering from Massachusetts Institute of Technology and an MBA from Harvard Business School.

Mr. Conley has served as Executive Vice President and Chief Financial Officer of Roper Technologies, Inc. (“Roper”), a company that operates market leading businesses that design and develop vertical software and technology enabled products for a variety of defensible niche markets, since February 2023. Mr. Conley joined Roper in 2006 and served as the company’s Chief Accounting officer along with leadership roles in financial planning and analysis, investor relations, and CFO for a Roper operating company. Mr. Conley has been instrumental in transforming Roper from a diversified industrial to a leading vertical software and technology enterprise. Mr. Conley earlier served in roles of increasing responsibility at Honeywell International and Deloitte. Mr. Conley received a BA from the University of Washington and an MBA from the Kellogg School of Management.

 

Item 8.01

Other Events.

On August 7, 2025, the Company issued a press release announcing that the Company’s Board declared a cash dividend of $1.90 per share on the Company’s common stock. Such dividend shall be payable on September 3, 2025 to stockholders of record as of the close of business on August 18, 2025. A copy of the press release is attached to this Current Report on Form 8-K as Exhibit 99.1.

 

Item 9.01

Financial Statements and Exhibits.

 

(d)

Exhibits

The following exhibits are filed herewith.

 

Exhibit No.    Description
99.1    Press release issued August 7, 2025
104    Cover Page Interactive Data File (formatted as inline XBRL and contained in Exhibit 101)


SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934, as amended, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.

 

    KLA CORPORATION
Date: August 7, 2025     By:  

/s/ Mary Beth Wilkinson

    Name:   Mary Beth Wilkinson
    Title:  

Executive Vice President, Chief Legal Officer and

Corporate Secretary

FAQ

What was Chesapeake Utilities' (CPK) diluted EPS for Q2 2025?

Diluted EPS was $1.02, up 25% from $0.82 in Q2 2024.

How much did CPK's Q2 2025 revenue increase year over year?

Total operating revenue rose 16% to $192.8 million.

What capital expenditures did Chesapeake Utilities incur in the first half of 2025?

Capex totaled $213.9 million, a 35% increase versus the prior-year period.

How will recent rate cases impact Chesapeake Utilities' earnings?

Approved rate cases in Delaware, Maryland and Florida add approximately $18 million of annualized revenue beginning in 2025.

What is Chesapeake Utilities' current debt position?

As of June 30 2025, long-term debt was $1.25 billion and short-term borrowing was $245 million.
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Semiconductor Equipment & Materials
Optical Instruments & Lenses
United States
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