CHCC Construction Materials
Non-Energy Minerals
Mkt Cap
63.0B
P/E (TTM)
8.55
EPS
44.68
ROE
21.41%
Div Yield
1.70%
5 years
FY2025FY2024FY2023FY2022FY2021
Total Revenue37.81B38.43B37.39B32.09B25.21B
Cost of Goods Sold-24.29B-26.95B-27.54B-23.40B-18.75B
Gross Profit13.52B11.48B9.84B8.68B6.45B
SG&A Expenses-1.37B-1.19B-981.98M-834.27M-678.27M
Depreciation-1.74B-1.76B-1.62B-1.63B-1.68B
Other Operating Expense-15.10M-174.36M138.51M79.40M41.27M
Total Operating Expense-25.67B-28.31B-28.39B-24.16B-19.39B
Operating Income (EBIT)12.14B10.12B9.00B7.93B5.82B
Interest Income45.04M85.65M141.65M38.18M20.23M
Interest Expense-589.14M-1.38B-1.91B-1.36B-1.52B
Equity in Earnings-329.0K264.0K7.06M26.0K31.0K
Other Non-Operating Income1.29B301.11M-7.42M218.46M24.96M
Total Non-Operating Income747.71M-993.13M-1.78B-1.10B-1.48B
Pre-Tax Income12.88B9.13B7.22B6.83B4.34B
Income Tax-4.20B-3.63B-2.82B-2.37B-1.13B
Minority Interest00000
Net Income8.68B5.50B4.40B4.46B3.21B
EBITDA13.94B11.95B10.62B9.56B7.50B
EPS (Basic)44.6828.3122.6722.9316.50
EPS (Diluted)44.6828.3122.6722.9316.50
Gross Margin35.75%29.88%26.33%27.07%25.60%
Operating Margin32.10%26.34%24.07%24.71%23.07%
EBITDA Margin36.88%31.10%28.41%29.80%29.75%
Pre-Tax Margin34.08%23.76%19.31%21.28%17.21%
Net Margin22.96%14.31%11.78%13.89%12.72%