Everus Construction Group Inc

Finanzen von Everus Construction Group Inc (ECG)

$115.730

-5.081 (-4.39%)Zum Schluss

Umsatzquellen von ECG

Everus Construction Group, Inc. (ECG) generates its revenue through a diversified portfolio of business segments. Currently, the largest contributor to its top-line growth is Electrical and Mechanical, accounting for 82.0% of total sales, equivalent to $1.01B. Another important revenue stream is Transmission and Distribution. Understanding this composition is critical for investors evaluating how ECG navigates market cycles within the Construction & Engineering industry.

Profitabilität und Margen von ECG

Evaluating the bottom line, Everus Construction Group, Inc. maintains a gross margin of 14.85%. This metric reflects the company's pricing power and manufacturing efficiency. Further down the income statement, the operating margin stands at 9.08%, while the net margin is 6.81%. These profitability ratios, combined with a Return on Equity (ROE) of 39.52%, provide a clear picture of how effectively ECG converts its operational activities into shareholder value.

ECG im Vergleich zur Peergroup

In the context of the broader market, ECG competes directly with industry leaders such as AGX and LGN. With a market capitalization of $7.20B, it holds a leading position in the sector. When comparing efficiency, ECG's gross margin of 14.85% stands against AGX's 21.00% and LGN's 14.44%. Such benchmarking helps identify whether Everus Construction Group, Inc. is trading at a premium or discount relative to its financial performance.

Finanzielle Entwicklung von Everus Construction Group Inc

Everus Construction reported record revenues of $1.23 billion in Q2 2026, a 30% year-over-year increase. The gross margin improved to 14.85%, and the net income reached $83.89 million, showcasing strong financial health.

Financials

FY2026Q2
YoY:
+33.65%
1.23B
Total Revenue
FY2026Q2
YoY:
+54.15%
111.77M
Operating Profit
FY2026Q2
YoY:
+60.53%
80.57M
Net Income after Tax
FY2026Q2
YoY:
+59.22%
1.64
EPS - Diluted
FY2026Q2
YoY:
+169.25%
33.01M
Free Cash Flow
FY2026Q2
YoY:
+14.14%
14.85
Gross Profit Margin - %
FY2026Q2
YoY:
+48.98%
5.87
FCF Margin - %
FY2026Q2
YoY:
+18.85%
6.81
Net Margin - %
FY2026Q2
YoY:
+22.06%
29.16
ROIC

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