PHM
PulteGroup, Inc.
132.59
200 x undefined
200 x undefined
bid
ask
-
4.62
3.37%
200 @ 04:00 PM
130.78 -1.81 (1.37%)
Ytd13.07%
1y19.09%
132.49
day range
137.97
107.07
52 week range
144.50
Open135.09Prev Close137.21Low132.49High137.97Mkt Cap25.26B
Vol1.18MAvg Vol1.90MEPS10.34P/E12.82Forward P/E11.92
Beta1.22Short Ratio5.73Inst. Own96.87%Dividend1.04Div Yield0.76
Ex Div Date06-16Earning07-2250-d Avg121.81200-d Avg124.541yr Est138.08
Income Statement
Total Revenue3.41B
Revenues (USD)3.41B
Cost of Revenue2.59B
Gross Profit822.11M
Operating Expenses380.33M
Selling, General and Administrative Expense380.33M
Operating Income441.77M
Income Tax Expense102.40M
Net Income347.00M
Net Income Common Stock347.00M
Net Income Common Stock (USD)347.00M
Consolidated Income347.00M
Earnings per Basic Share1.81
Earnings per Basic Share (USD)1.81
Earnings per Diluted Share1.79
Dividends per Basic Common Share0.26
Earning Before Interest & Taxes (EBIT)449.40M
Earning Before Interest & Taxes (USD)449.40M
Weighted Average Shares192.09M
Weighted Average Shares Diluted193.40M
Balance Sheet
Cash and Equivalents1.84B
Cash and Equivalents (USD)1.84B
Investments677.41M
Total Assets18.20B
Total Debt2.28B
Total Liabilities5.24B
Shareholders Equity12.95B
Shareholders Equity (USD)12.95B
Total Debt (USD)2.28B
Deposit Liabilities466.55M
Goodwill and Intangible Assets65.18M
Inventory13.30B
Trade and Non-Trade Payables688.54M
Tax Assets48.15M
Tax Liabilities456.78M
Cash Flow
Depreciation, Amortization & Accretion24.54M
Net Cash Flow from Financing-300.21M
Net Cash Flow / Change in Cash & Cash Equivalents-165.39M
Capital Expenditure-25.40M
Net Cash Flow - Business Acquisitions and Disposals86.00K
Issuance (Purchase) of Equity Shares-308.18M
Issuance (Repayment) of Debt Securities 96.82M
Payment of Dividends & Other Cash Distributions -52.03M
Net Cash Flow from Investing-24.93M
Net Cash Flow from Operations159.75M
Share Based Compensation19.35M