FECTC Construction Materials
Non-Energy Minerals
Mkt Cap
4.7B
P/E (TTM)
6.71
EPS
12.13
ROE
14.86%
Div Yield
1.93%
5 years
FY2025FY2024FY2023FY2022FY2021
Profitability
Return on Equity (ROE)14.47%9.55%-3.63%7.94%-1.93%
Return on Assets (ROA)7.71%4.60%-1.75%4.14%-1.16%
Return on Invested Capital12.60%7.88%-2.85%6.45%-1.75%
Gross Margin16.22%12.82%3.21%12.00%5.27%
Operating Margin10.62%7.84%-2.35%7.52%-0.52%
EBITDA Margin11.87%9.01%1.00%10.51%2.27%
Net Margin5.49%3.30%-1.53%4.23%-1.36%
Pre-Tax Margin10.35%6.36%-3.25%6.33%-1.28%
Liquidity
Current Ratio1.771.431.461.811.75
Quick Ratio0.370.290.220.260.32
Leverage
Debt / Equity0.250.440.590.440.45
Debt / Assets0.150.220.270.220.24
LT Debt / Equity0.120.180.250.290.17
LT Debt / Assets0.070.090.120.150.09
Net Debt855.02M1.42B1.92B1.40B1.35B
Total Debt1.16B1.72B2.13B1.65B1.55B
Efficiency
Asset Turnover1.411.391.140.980.86
Inventory Turnover2.652.782.692.121.96
Per Share
Book Value Per Share90.7078.6071.7174.7869.12
Tangible Book Per Share90.4578.6071.7174.7869.12
Cash Per Share6.025.834.185.033.91
Total Debt Per Share23.0734.2042.4532.9430.80
Working Capital Per Share38.6926.5724.4230.4628.07
Shares & Market
Total Shares Outstanding50,160,00050,160,00050,160,00050,160,00050,160,000
Market Cap4.66B1.49B1.00B984.14M1.67B
Enterprise Value5.52B2.91B2.92B2.38B3.01B
Employees337330336328332
Shareholders2,7422,7422,7422,7422,742