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Crh Plc Stock Quote

Crh Plc (NYSE: CRHCF)

$116.98
(-1.1%)
-1.27
Price as of October 22, 2025, 4:00 p.m. ET

KEY DATA POINTS

Current Price
$116.98
Daily Change
(-1.1%) $1.27
Day's Range
$116.8 - $119.76
Previous Close
$116.98
Open
$118.78
Beta
1.14
Volume
3,031,239
Average Volume
4,004,723
Sector
Market Cap
79.5B
Market Cap / Employee
$118.25M
52wk Range
$76.75 - $121.88
Revenue
-
Gross Margin
0.36%
Dividend Yield
0.63%
EPS
$4.78
CAPs Rating
-
Industry
Construction Materials

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Crh Plc Return vs. S&P

1 Year5 Year5 Year AnnualizedSince IPO
CRHCF+29.27%+282.76%+30.79%+706%
S&P+15.06%+95.03%+14.29%+578%

Crh Plc Company Info

CRH Plc manufactures and distributes building materials and products for the construction industry. It operates business through the following segments: Americas Materials, Europe Materials, and Building Products. The Americas Materials segment provides asphalt paving services and produces materials such as cement, aggregates, ready mixed concrete, and asphalt. The Europe Materials engages in the manufacture and supply of cement, lime, asphalt, and other materials in Europe as well as in the Philippines and Asia. The Building Products segment includes business operating across a portfolio of building product related platforms including architectural accessories and building envelope. The company was founded in 1970 and is headquartered in Rathfarnham, Ireland.

News & Analysis

Financial Health

General

Q2 2025YOY Change
Revenue$10.21B5.7%
Gross Profit$4.03B9.6%
Gross Margin39.45%1.4%
Market Cap$62.06B21.0%
Market Cap / Employee$0.78M0.0%
Employees79.8K1.7%
Net Income$1.33B1.8%
EBITDA$2.44B13.4%

Currently no data to display

Revenue Growth Rate

Currently no data to display.

Earnings Per Share Growth Rate

Currently no data to display.

Assets

Q2 2025YOY Change
Net Cash$2.88B-26.9%
Accounts Receivable$6.01B8.6%
Inventory5.1K11.9%

Liabilities

Q2 2025YOY Change
Long Term Debt$15.74B42.9%
Short Term Debt$1.42B-59.2%

Ratios

Q2 2025YOY Change
Return On Assets6.39%-0.8%
Return On Invested Capital7.97%0.9%

Cash Flow

Q2 2025YOY Change
Free Cash Flow$705.08M-19.1%
Operating Free Cash Flow$1.41B-5.4%

Valuation

MetricQ3 2024Q4 2024Q1 2025Q2 2025YoY Change
Price to Earnings18.5418.3718.6219.1923.54%
Price to Book3.062.882.762.9417.58%
Price to Sales1.801.781.661.7116.00%
Price to Tangible Book Value6.756.386.387.3654.08%
Price to Free Cash Flow TTM82.0685.6442.3552.0129.53%
Enterprise Value to EBITDA32.6143.40153.1131.828.98%
Free Cash Flow Yield1.2%1.2%2.4%1.9%-22.80%
Return on Equity15.8%16.3%15.8%15.2%-5.20%
Total Debt$15.51B$15.56B$16.99B$17.16B18.39%

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