HORTON D R INC /DE/ (DHI)

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CIK 0000882184 · NYSE · Operative Builders

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

In fiscal 2025, HORTON D R INC /DE/ reported revenue of $34.25B, down 6.9% from the prior year. The company was profitable, with a net margin of 10.6%. It held $35.47B in total assets against $10.73B in total liabilities.

Key ratios (FY2025)

10.6%
Net margin
14.6%
Return on equity
-6.9%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$34.25B$36.80B$35.46B$33.48B$27.77B$20.31B$17.59B$16.07B$14.09B$12.16B
Cost of Revenue$26.13B$27.27B$26.11B$22.98B$19.90B$15.37B$13.72B$12.40B$11.04B$9.50B
Net Income$3.62B$4.81B$4.80B$5.90B$4.19B$2.38B$1.62B$1.46B$1.04B$886.30M
EPS (Diluted)$11.57$14.34$13.82$16.51$11.41$6.41$4.29$3.81$2.74$2.36
Total Assets$35.47B$36.10B$32.58B$30.35B$24.02B$18.91B$15.61B$14.11B$12.18B$11.56B
Total Liabilities$10.73B$10.28B$9.44B$10.57B$8.80B$6.79B$5.31B$4.96B$4.44B$4.77B
Shareholders' Equity$24.74B$25.82B$23.14B$19.79B$15.22B$12.12B$10.30B$9.16B$7.75B$6.79B
Cash & Equivalents$2.99B$4.52B$3.87B$2.54B$3.21B$3.02B$1.49B$1.47B$1.01B$1.30B
Operating Cash Flow$3.42B$2.19B$4.30B$561.80M$534.40M$1.42B$892.10M$545.20M$440.20M$623.90M
Capital Expenditures$137.40M$165.30M$148.60M$148.20M$93.50M$96.50M$127.20M$68.10M$102.70M$78.10M
Shares Outstanding294.48M324.03M334.85M343.95M356.02M364.00M368.43M376.26M374.99M372.92M
Dividends Per Share$1.60$1.20$1.00$0.90$0.80$0.70$0.60$0.50$0.40