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.
| Item | Amount | Y/Y |
|---|---|---|
| Revenue | $10.78B | +5.6% |
| Gross profit | $4.29B | — |
| Operating income | $2.08B | — |
| Net income | $1.49B | +12.7% |
| Gross margin | 39.8% | Net margin 13.8% |
| Revenue Q/Q | +46.2% | — |
| Segment | Revenue | Share |
|---|---|---|
| Road Solutions | $3.32B | 30.8% |
| Americas Building Solutions | $2.12B | 19.6% |
| Essential Materials | $1.64B | 15.2% |
| Essential Materials | $1.59B | 14.7% |
| Road Solutions | $1.35B | 12.5% |
| Building And Infrastructure Solutions | $0.57B | 5.3% |
| Outdoor Living Solutions | $0.20B | 1.8% |
| Building And Infrastructure Solutions | $0.00B | 0.0% |
| Outdoor Living Solutions | $0.00B | 0.0% |
| Item | Amount | % of revenue |
|---|---|---|
| Cost of revenue | $6.48B | 60.2% |
| SG&A | $2.27B | 21.0% |
| Tax & other | $0.59B | 5.5% |
| Item | Amount |
|---|---|
| Total assets | $58.55B |
| Total liabilities | $33.02B |
| Shareholders' equity | $25.54B |
| Equity / assets | 43.6% |
| Operating cash flow | $1.13B |
| Capital expenditure | $0.64B |
| Free cash flow | $0.49B |
| Cash conversion (OCF / net income) | 76% |
The Sankey chart shows how revenue splits into cost of revenue, R&D and SG&A, and what remains as profit — clean visuals for research decks and social posts.
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Source: SEC EDGAR · This page shows public filing data only, not investment advice. · Browse all companies