CRH PUBLIC LTD CO (CRH)
↓ Download CSV- Sector Manufacturing
- Incorporated L2
- Fiscal year ends Dec 31
In fiscal 2025, CRH PUBLIC LTD CO reported revenue of $37.45B, up 5.3% from the prior year. The company was profitable, with a net margin of 10.0% and a gross margin of 36.1%. It held $58.33B in total assets against $32.85B in total liabilities.
Key ratios (FY2025)
36.1%
Gross margin
14.5%
Operating margin
10.0%
Net margin
15.0%
Return on equity
+5.3%
Revenue growth (YoY)
| Metric (FY) | 2025 | 2024 | 2023 | 2022 | 2021 | 2020 |
|---|---|---|---|---|---|---|
| Revenue | $37.45B | $35.57B | $34.95B | $32.72B | $29.21B | — |
| Cost of Revenue | $23.92B | $22.87B | $22.99B | $21.91B | $19.38B | — |
| Gross Profit | $13.53B | $12.70B | $11.96B | $10.81B | $9.83B | — |
| Operating Income | $5.44B | $4.92B | $4.19B | $3.81B | $3.33B | — |
| Net Income | $3.75B | $3.49B | $3.18B | $3.86B | $2.63B | — |
| EPS (Diluted) | $5.51 | $5.02 | $4.33 | $5.11 | $3.32 | — |
| Total Assets | $58.33B | $50.61B | $47.47B | $45.32B | — | — |
| Total Liabilities | $32.85B | $27.76B | $25.85B | $22.28B | — | — |
| Shareholders' Equity | $25.05B | $22.47B | $21.29B | $22.73B | $21.25B | $20.41B |
| Cash & Equivalents | $4.10B | $3.72B | $6.34B | $5.94B | $5.78B | — |
| Operating Cash Flow | $5.62B | $4.99B | $5.02B | $3.80B | $3.98B | — |
| Capital Expenditures | $2.71B | $2.58B | $1.82B | $1.52B | $1.55B | — |
| Shares Outstanding | 677.00M | 689.50M | 729.20M | 764.10M | 786.80M | — |
| Dividends Per Share | $1.48 | $1.40 | $1.33 | $1.27 | $1.21 | — |