BEAZER HOMES USA INC (BZH)

↓ Download CSV

CIK 0000915840 · NYSE · Operative Builders

  • Sector Construction
  • Incorporated DE
  • Fiscal year ends Sep 30

In fiscal 2025, BEAZER HOMES USA INC reported revenue of $2.37B, up 1.8% from the prior year. The company was profitable, with a net margin of 1.9% and a gross margin of 14.2%. It held $2.61B in total assets against $1.36B in total liabilities.

Key ratios (FY2025)

14.2%
Gross margin
1.5%
Operating margin
1.9%
Net margin
3.7%
Return on equity
+1.8%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$2.37B$2.33B$2.21B$2.32B$2.14B$2.13B$2.09B$2.11B$1.92B
Cost of Revenue$1.77B$1.76B$1.60B
Gross Profit$337.51M$424.29M$442.69M$537.51M$404.25M$347.64M$166.04M$345.01M$312.86M$297.21M
Operating Income$36.60M$143.03M$177.25M$272.49M$146.87M$79.11M-$89.90M$81.55M$62.14M$59.33M
Net Income$45.59M$140.18M$158.61M$220.70M$122.02M$52.23M-$79.52M-$45.38M$31.81M$4.69M
EPS (Diluted)$1.52$4.53$5.16$7.17$4.01$1.74$-2.60$-1.41$0.99$0.15
Total Assets$2.61B$2.59B$2.41B$2.25B$2.08B$2.01B$1.96B$2.13B$2.22B$2.21B
Total Liabilities$1.36B$1.36B$1.31B$1.31B$1.35B$1.41B$1.42B$1.48B$1.54B$1.57B
Shareholders' Equity$1.25B$1.23B$1.10B$939.29M$724.88M$593.17M$538.75M$644.03M$682.44M$642.85M
Operating Cash Flow$31.98M-$137.54M$178.06M$81.07M$31.66M$289.10M$113.64M$54.84M$104.86M$163.03M
Capital Expenditures$28.50M$22.35M$20.33M$15.05M$14.64M$10.64M$21.36M$17.02M$12.44M$12.22M
Shares Outstanding29.76M31.05M31.35M30.88M31.29M31.01M30.93M33.52M33.52M33.07M