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CRH PUBLIC LTD CO Revenue Breakdown

Period 2026-06-30 (quarterly) ・ Reported 2026-07-30

CRH PUBLIC LTD CO reported revenue of $10.78B for the period ended 2026-06-30, +5.6% year on year. Net income was $1.49B, a 13.8% net margin on a 39.8% gross margin. The largest revenue line is Road Solutions at 31% of the total. Free cash flow for the period was $0.49B.

ItemAmountY/Y
Revenue$10.78B+5.6%
Gross profit$4.29B
Operating income$2.08B
Net income$1.49B+12.7%
Gross margin39.8%Net margin 13.8%
Revenue Q/Q+46.2%

Revenue Segments

SegmentRevenueShare
Road Solutions$3.32B30.8%
Americas Building Solutions$2.12B19.6%
Essential Materials$1.64B15.2%
Essential Materials$1.59B14.7%
Road Solutions$1.35B12.5%
Building And Infrastructure Solutions$0.57B5.3%
Outdoor Living Solutions$0.20B1.8%
Building And Infrastructure Solutions$0.00B0.0%
Outdoor Living Solutions$0.00B0.0%

Costs & Expenses

ItemAmount% of revenue
Cost of revenue$6.48B60.2%
SG&A$2.27B21.0%
Tax & other$0.59B5.5%

Balance sheet & cash flow

ItemAmount
Total assets$58.55B
Total liabilities$33.02B
Shareholders' equity$25.54B
Equity / assets43.6%
Operating cash flow$1.13B
Capital expenditure$0.64B
Free cash flow$0.49B
Cash conversion (OCF / net income)76%
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Source: SEC EDGAR · This page shows public filing data only, not investment advice. · Browse all companies