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Financial Statements — BLDR

Balance Sheet

(in billions USD)
MetricQ2 2026Q1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023Q3 2022Q2 2022Q1 2022Q3 2021Q2 2021Q1 2021
Cash & Equivalents0.070.100.300.090.120.330.080.700.090.090.140.080.170.280.220.090.02
Accounts Receivable1.301.161.251.331.251.371.481.391.621.621.431.922.412.292.132.171.75
Inventory1.271.191.181.311.351.201.291.361.331.361.341.762.072.191.622.071.59
Total Current Assets3.243.123.303.293.283.473.453.943.573.613.354.425.285.384.234.923.57
Property, Plant & Equipment2.112.162.202.192.171.941.901.841.761.681.611.491.421.391.341.301.30
Goodwill4.154.144.003.993.973.653.603.583.523.503.503.453.343.273.142.542.54
Intangible Assets1.051.111.201.261.321.141.171.241.351.411.491.641.531.541.631.421.50
Total Non-current Assets*8.088.198.138.188.177.427.277.237.167.137.137.126.816.676.585.715.81
Total Assets11.3211.3011.4311.4611.4510.8910.7211.1710.7410.7310.4811.5412.0912.0510.8110.639.38
Accounts Payable1.030.920.961.011.021.021.031.021.031.060.941.091.271.561.001.321.12
Total Current Liabilities1.811.771.851.831.801.961.891.782.031.961.832.292.532.682.032.251.86
Long-term Debt4.584.614.434.674.473.703.803.703.403.673.193.173.553.392.422.041.66
Total Non-current Liabilities*5.515.535.275.455.274.494.524.434.134.443.994.024.424.233.252.892.53
Total Liabilities7.327.307.117.297.076.456.426.216.166.395.826.316.956.925.295.144.40
Retained Earnings-0.000.000.12--0.110.180.050.700.320.090.410.970.890.891.271.230.73
Total Stockholder Equity4.014.004.324.184.374.454.304.964.584.344.665.225.145.145.525.484.98

* Derived from reported values

Income Statement

(in billions USD) (except per-share rows)
MetricQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Total Revenue3.863.293.363.944.233.663.824.234.463.894.154.534.533.884.365.766.935.684.635.51
Cost of Revenue2.782.362.362.742.942.542.592.852.992.592.692.952.932.512.873.754.513.853.153.80
Gross Profit1.090.931.001.201.301.121.231.391.461.301.461.581.591.371.492.012.411.831.491.71
Selling, General & Admin0.960.910.940.970.990.930.930.960.970.930.970.941.020.900.961.001.050.970.860.88
Total Operating Expenses0.960.910.940.970.990.930.930.960.970.930.970.941.020.900.961.001.050.970.860.88
Operating Income0.130.020.060.230.310.180.300.430.490.370.490.640.580.470.531.011.370.860.620.84
Pretax Income0.05(0.06)(0.01)0.160.240.120.250.370.440.330.440.590.520.430.480.971.300.820.580.80
Tax Provision0.06(0.01)(0.04)0.040.050.020.060.090.090.070.090.140.120.090.100.230.310.180.140.19
Net Income-0.00(0.05)0.030.120.190.100.190.280.340.260.350.450.400.330.380.740.990.640.440.61
Basic EPS(0.04)(0.43)0.281.111.670.851.672.452.892.122.813.623.192.442.834.755.793.612.313.00
Diluted EPS(0.04)(0.43)0.291.101.660.841.652.442.872.102.783.593.162.412.794.725.753.562.282.98

Cash Flow Statement

(in billions USD)
MetricQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Operating Cash Flow0.070.090.190.550.340.130.370.730.450.320.610.650.390.650.971.500.950.180.841.11
Capital Expenditures0.040.050.090.090.090.100.100.100.090.090.100.150.130.110.130.090.070.050.070.06
Free Cash Flow*0.030.040.110.460.250.030.270.630.360.220.510.500.270.550.841.420.880.130.771.05
Investing Cash Flow(0.05)(0.06)(0.31)(0.10)(0.15)(0.91)(0.18)(0.22)(0.16)(0.15)(0.19)(0.16)(0.13)(0.18)(0.14)(0.51)(0.26)(0.05)(0.37)(0.80)
Financing Cash Flow(0.05)(0.11)-0.00(0.24)(0.22)0.74(0.37)(0.26)(0.91)0.47(0.44)(0.49)(0.31)(0.41)(0.84)(1.07)(0.80)0.11(0.65)(0.17)

* Derived from reported values