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BLD Topbuild

Watchlist
251.560 +2.190+0.88% Close 09/25 16:00 ET
251.5600.0000.00% Post 16:00 ET
255.035High248.390Low141.00KVolume

Topbuild Key Stats

Quarterly+Annual
YOY
Hide blank lines
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
(FY)2021/12/31
(Q4)2021/12/31
(Q3)2021/09/30
Assets
Current assets
Cash, cash equivalents and short term investments
324.91%526.33M
163.75%333.78M
71.75%240.07M
71.75%240.07M
-51.39%159.38M
-52.67%123.87M
-60.41%126.55M
-57.64%139.78M
-57.64%139.78M
3.99%327.91M
-Cash and cash equivalents
324.91%526.33M
163.75%333.78M
71.75%240.07M
71.75%240.07M
-51.39%159.38M
-52.67%123.87M
-60.41%126.55M
-57.64%139.78M
-57.64%139.78M
3.99%327.91M
Receivables
10.85%857.66M
13.39%833.96M
25.08%836.07M
25.08%836.07M
57.78%815.63M
57.38%773.74M
58.90%735.45M
56.41%668.42M
56.41%668.42M
18.42%516.94M
-Accounts receivable
10.85%857.66M
13.39%833.96M
25.08%836.07M
25.08%836.07M
57.78%815.63M
57.38%773.74M
58.90%735.45M
56.41%668.42M
56.41%668.42M
18.42%516.94M
Inventory
-10.68%385.05M
8.25%422.23M
24.33%438.64M
24.33%438.64M
121.32%447.1M
141.41%431.1M
137.86%390.06M
118.63%352.8M
118.63%352.8M
41.75%202.02M
Other current assets
-1.08%25.56M
-21.45%22.86M
28.34%34.26M
28.34%34.26M
29.08%27.42M
25.88%25.84M
104.15%29.1M
50.90%26.69M
50.90%26.69M
-33.83%21.24M
Total current assets
32.49%1.79B
25.89%1.61B
30.42%1.55B
30.42%1.55B
35.71%1.45B
42.22%1.35B
33.36%1.28B
26.84%1.19B
26.84%1.19B
15.28%1.07B
Non current assets
Net PPE
9.04%462.79M
8.85%471.53M
8.92%459.38M
8.92%459.38M
43.17%440.35M
41.22%424.41M
54.09%433.2M
60.03%421.75M
60.03%421.75M
21.19%307.58M
-Gross PPE
9.04%462.79M
8.85%471.53M
11.33%800.07M
11.33%800.07M
43.17%440.35M
41.22%424.41M
54.09%433.2M
35.30%718.65M
35.30%718.65M
21.19%307.58M
-Accumulated depreciation
----
----
-14.75%-340.69M
-14.75%-340.69M
----
----
----
-10.95%-296.9M
-10.95%-296.9M
----
Goodwill and other intangible assets
-1.31%2.59B
-1.29%2.6B
-1.97%2.58B
-1.97%2.58B
49.99%2.6B
51.41%2.62B
60.97%2.63B
64.49%2.63B
64.49%2.63B
11.56%1.73B
-Goodwill
1.19%1.99B
1.43%1.99B
0.88%1.97B
0.88%1.97B
31.37%1.97B
31.75%1.97B
37.28%1.96B
38.21%1.95B
38.21%1.95B
8.48%1.5B
-Other intangible assets
-8.84%595.71M
-9.27%607.68M
-10.12%614.97M
-10.12%614.97M
168.66%631.01M
175.06%653.46M
225.91%669.8M
258.97%684.21M
258.97%684.21M
36.24%234.87M
Non current deferred assets
----
----
----
----
----
--0
--0
----
----
-37.43%2.75M
Other non current assets
-35.36%12.91M
25.81%16.48M
8.84%16.45M
8.84%16.45M
78.39%18.99M
78.05%19.97M
18.33%13.1M
33.57%15.12M
33.57%15.12M
-3.20%10.65M
Total non current assets
-0.10%3.06B
0.25%3.09B
-0.42%3.06B
-0.42%3.06B
48.91%3.06B
49.86%3.07B
59.49%3.08B
63.44%3.07B
63.44%3.07B
12.70%2.05B
Total assets
9.88%4.86B
7.78%4.7B
8.18%4.61B
8.18%4.61B
44.39%4.51B
47.43%4.42B
50.81%4.36B
51.26%4.26B
51.26%4.26B
13.57%3.12B
Liabilities
Current liabilities
Payables
-9.25%484.37M
-5.84%507.55M
4.07%503.54M
4.07%503.54M
32.39%535.37M
41.82%533.72M
48.06%539.01M
37.74%483.83M
37.74%483.83M
29.74%404.4M
-accounts payable
-7.80%468.6M
-4.84%450.96M
5.45%487.11M
5.45%487.11M
33.23%510.16M
42.53%508.23M
43.26%473.92M
39.25%461.92M
39.25%461.92M
22.85%382.93M
-Total tax payable
-38.16%15.77M
-13.07%56.59M
-25.05%16.42M
-25.05%16.42M
17.42%25.21M
28.94%25.5M
95.83%65.1M
12.11%21.91M
12.11%21.91M
--21.47M
Current accrued expenses
-2.92%148.5M
-8.18%116.02M
15.28%161.01M
15.28%161.01M
25.44%134.26M
58.24%152.96M
51.12%126.36M
70.61%139.67M
70.61%139.67M
6.35%107.03M
Current debt and capital lease obligation
13.51%109.15M
10.67%106.93M
7.88%103.16M
7.88%103.16M
59.99%96.96M
59.87%96.16M
65.10%96.63M
68.29%95.62M
68.29%95.62M
8.23%60.61M
-Current debt
18.29%45.14M
9.42%42.37M
3.70%40.07M
3.70%40.07M
58.62%37.37M
62.56%38.16M
65.44%38.72M
65.65%38.64M
65.65%38.64M
1.33%23.56M
-Current capital lease obligation
10.36%64.01M
11.50%64.56M
10.72%63.09M
10.72%63.09M
60.86%59.6M
58.14%58M
64.88%57.9M
70.12%56.98M
70.12%56.98M
13.13%37.05M
Current deferred liabilities
-13.36%16.33M
30.21%20.74M
53.31%21.94M
53.31%21.94M
72.24%21.99M
86.99%18.85M
96.85%15.93M
118.76%14.31M
118.76%14.31M
-24.08%12.77M
Current liabilities
-5.41%758.34M
-3.43%751.24M
7.66%789.64M
7.66%789.64M
34.85%788.58M
47.58%801.69M
51.26%777.92M
47.73%733.43M
47.73%733.43M
20.54%584.8M
Non current liabilities
Long term provisions
-5.90%57.22M
15.73%61.47M
15.24%59.78M
15.24%59.78M
28.19%61.24M
22.95%60.81M
5.81%53.11M
2.40%51.88M
2.40%51.88M
-4.31%47.78M
Long term debt and capital lease obligation
-1.30%1.55B
-1.30%1.57B
-0.86%1.57B
-0.86%1.57B
110.75%1.57B
109.26%1.57B
111.75%1.59B
115.37%1.59B
115.37%1.59B
0.72%746.86M
-Long term debt
-2.94%1.39B
-2.74%1.41B
-2.56%1.42B
-2.56%1.42B
111.52%1.43B
111.03%1.44B
110.56%1.45B
112.83%1.45B
112.83%1.45B
-1.93%675.57M
-Long term capital lease obligation
16.75%153.23M
13.41%159.83M
17.66%156.62M
17.66%156.62M
103.53%145.09M
91.72%131.25M
124.81%140.93M
147.65%133.11M
147.65%133.11M
35.35%71.29M
Non current deferred liabilities
3.70%254.78M
2.59%252.04M
1.30%251.48M
1.30%251.48M
47.14%244.61M
46.16%245.69M
45.87%245.67M
47.27%248.24M
47.27%248.24M
-4.24%166.24M
Other non current liabilities
-13.81%1.54M
332.48%5.26M
144.69%2.35M
144.69%2.35M
-75.82%3.22M
-86.91%1.79M
-91.09%1.22M
-92.96%960K
-92.96%960K
-16.81%13.31M
Total non current liabilities
-0.80%1.86B
-0.10%1.88B
-0.06%1.89B
-0.06%1.89B
93.30%1.88B
91.36%1.88B
92.20%1.89B
94.71%1.89B
94.71%1.89B
-0.70%974.18M
Total liabilities
-2.18%2.62B
-1.07%2.64B
2.10%2.68B
2.10%2.68B
71.37%2.67B
75.75%2.68B
78.13%2.66B
78.80%2.62B
78.80%2.62B
6.33%1.56B
Shareholders'equity
Share capital
0.51%395K
0.51%395K
0.51%393K
0.51%393K
0.51%393K
0.77%393K
0.77%393K
0.51%391K
0.51%391K
0.51%391K
-common stock
0.51%395K
0.51%395K
0.51%393K
0.51%393K
0.51%393K
0.77%393K
0.77%393K
0.51%391K
0.51%391K
0.51%391K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
40.97%2.06B
43.88%1.89B
46.31%1.76B
46.31%1.76B
43.71%1.61B
42.09%1.46B
40.46%1.32B
36.96%1.2B
36.96%1.2B
39.26%1.12B
Paid-in capital
3.97%895.75M
1.59%891.53M
1.64%887.37M
1.64%887.37M
2.73%884.73M
0.38%861.54M
2.52%877.56M
1.70%873.03M
1.70%873.03M
0.61%861.23M
Less: Treasury stock
22.07%699.15M
41.91%699.15M
60.73%692.8M
60.73%692.8M
52.23%642.75M
39.45%572.75M
24.25%492.69M
11.47%431.03M
11.47%431.03M
10.92%422.23M
Gains losses not affecting retained earnings
-183.19%-15.88M
-490.37%-20.17M
-230.42%-21.92M
-230.42%-21.92M
---20.77M
---5.61M
---3.42M
---6.63M
---6.63M
----
Total stockholders'equity
28.43%2.24B
21.68%2.07B
17.92%1.93B
17.92%1.93B
17.46%1.83B
18.16%1.74B
21.55%1.7B
21.33%1.64B
21.33%1.64B
21.86%1.56B
Total equity
28.43%2.24B
21.68%2.07B
17.92%1.93B
17.92%1.93B
17.46%1.83B
18.16%1.74B
21.55%1.7B
21.33%1.64B
21.33%1.64B
21.86%1.56B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31(Q3)2021/09/30
Assets
Current assets
Cash, cash equivalents and short term investments 324.91%526.33M163.75%333.78M71.75%240.07M71.75%240.07M-51.39%159.38M-52.67%123.87M-60.41%126.55M-57.64%139.78M-57.64%139.78M3.99%327.91M
-Cash and cash equivalents 324.91%526.33M163.75%333.78M71.75%240.07M71.75%240.07M-51.39%159.38M-52.67%123.87M-60.41%126.55M-57.64%139.78M-57.64%139.78M3.99%327.91M
Receivables 10.85%857.66M13.39%833.96M25.08%836.07M25.08%836.07M57.78%815.63M57.38%773.74M58.90%735.45M56.41%668.42M56.41%668.42M18.42%516.94M
-Accounts receivable 10.85%857.66M13.39%833.96M25.08%836.07M25.08%836.07M57.78%815.63M57.38%773.74M58.90%735.45M56.41%668.42M56.41%668.42M18.42%516.94M
Inventory -10.68%385.05M8.25%422.23M24.33%438.64M24.33%438.64M121.32%447.1M141.41%431.1M137.86%390.06M118.63%352.8M118.63%352.8M41.75%202.02M
Other current assets -1.08%25.56M-21.45%22.86M28.34%34.26M28.34%34.26M29.08%27.42M25.88%25.84M104.15%29.1M50.90%26.69M50.90%26.69M-33.83%21.24M
Total current assets 32.49%1.79B25.89%1.61B30.42%1.55B30.42%1.55B35.71%1.45B42.22%1.35B33.36%1.28B26.84%1.19B26.84%1.19B15.28%1.07B
Non current assets
Net PPE 9.04%462.79M8.85%471.53M8.92%459.38M8.92%459.38M43.17%440.35M41.22%424.41M54.09%433.2M60.03%421.75M60.03%421.75M21.19%307.58M
-Gross PPE 9.04%462.79M8.85%471.53M11.33%800.07M11.33%800.07M43.17%440.35M41.22%424.41M54.09%433.2M35.30%718.65M35.30%718.65M21.19%307.58M
-Accumulated depreciation ---------14.75%-340.69M-14.75%-340.69M-------------10.95%-296.9M-10.95%-296.9M----
Goodwill and other intangible assets -1.31%2.59B-1.29%2.6B-1.97%2.58B-1.97%2.58B49.99%2.6B51.41%2.62B60.97%2.63B64.49%2.63B64.49%2.63B11.56%1.73B
-Goodwill 1.19%1.99B1.43%1.99B0.88%1.97B0.88%1.97B31.37%1.97B31.75%1.97B37.28%1.96B38.21%1.95B38.21%1.95B8.48%1.5B
-Other intangible assets -8.84%595.71M-9.27%607.68M-10.12%614.97M-10.12%614.97M168.66%631.01M175.06%653.46M225.91%669.8M258.97%684.21M258.97%684.21M36.24%234.87M
Non current deferred assets ----------------------0--0---------37.43%2.75M
Other non current assets -35.36%12.91M25.81%16.48M8.84%16.45M8.84%16.45M78.39%18.99M78.05%19.97M18.33%13.1M33.57%15.12M33.57%15.12M-3.20%10.65M
Total non current assets -0.10%3.06B0.25%3.09B-0.42%3.06B-0.42%3.06B48.91%3.06B49.86%3.07B59.49%3.08B63.44%3.07B63.44%3.07B12.70%2.05B
Total assets 9.88%4.86B7.78%4.7B8.18%4.61B8.18%4.61B44.39%4.51B47.43%4.42B50.81%4.36B51.26%4.26B51.26%4.26B13.57%3.12B
Liabilities
Current liabilities
Payables -9.25%484.37M-5.84%507.55M4.07%503.54M4.07%503.54M32.39%535.37M41.82%533.72M48.06%539.01M37.74%483.83M37.74%483.83M29.74%404.4M
-accounts payable -7.80%468.6M-4.84%450.96M5.45%487.11M5.45%487.11M33.23%510.16M42.53%508.23M43.26%473.92M39.25%461.92M39.25%461.92M22.85%382.93M
-Total tax payable -38.16%15.77M-13.07%56.59M-25.05%16.42M-25.05%16.42M17.42%25.21M28.94%25.5M95.83%65.1M12.11%21.91M12.11%21.91M--21.47M
Current accrued expenses -2.92%148.5M-8.18%116.02M15.28%161.01M15.28%161.01M25.44%134.26M58.24%152.96M51.12%126.36M70.61%139.67M70.61%139.67M6.35%107.03M
Current debt and capital lease obligation 13.51%109.15M10.67%106.93M7.88%103.16M7.88%103.16M59.99%96.96M59.87%96.16M65.10%96.63M68.29%95.62M68.29%95.62M8.23%60.61M
-Current debt 18.29%45.14M9.42%42.37M3.70%40.07M3.70%40.07M58.62%37.37M62.56%38.16M65.44%38.72M65.65%38.64M65.65%38.64M1.33%23.56M
-Current capital lease obligation 10.36%64.01M11.50%64.56M10.72%63.09M10.72%63.09M60.86%59.6M58.14%58M64.88%57.9M70.12%56.98M70.12%56.98M13.13%37.05M
Current deferred liabilities -13.36%16.33M30.21%20.74M53.31%21.94M53.31%21.94M72.24%21.99M86.99%18.85M96.85%15.93M118.76%14.31M118.76%14.31M-24.08%12.77M
Current liabilities -5.41%758.34M-3.43%751.24M7.66%789.64M7.66%789.64M34.85%788.58M47.58%801.69M51.26%777.92M47.73%733.43M47.73%733.43M20.54%584.8M
Non current liabilities
Long term provisions -5.90%57.22M15.73%61.47M15.24%59.78M15.24%59.78M28.19%61.24M22.95%60.81M5.81%53.11M2.40%51.88M2.40%51.88M-4.31%47.78M
Long term debt and capital lease obligation -1.30%1.55B-1.30%1.57B-0.86%1.57B-0.86%1.57B110.75%1.57B109.26%1.57B111.75%1.59B115.37%1.59B115.37%1.59B0.72%746.86M
-Long term debt -2.94%1.39B-2.74%1.41B-2.56%1.42B-2.56%1.42B111.52%1.43B111.03%1.44B110.56%1.45B112.83%1.45B112.83%1.45B-1.93%675.57M
-Long term capital lease obligation 16.75%153.23M13.41%159.83M17.66%156.62M17.66%156.62M103.53%145.09M91.72%131.25M124.81%140.93M147.65%133.11M147.65%133.11M35.35%71.29M
Non current deferred liabilities 3.70%254.78M2.59%252.04M1.30%251.48M1.30%251.48M47.14%244.61M46.16%245.69M45.87%245.67M47.27%248.24M47.27%248.24M-4.24%166.24M
Other non current liabilities -13.81%1.54M332.48%5.26M144.69%2.35M144.69%2.35M-75.82%3.22M-86.91%1.79M-91.09%1.22M-92.96%960K-92.96%960K-16.81%13.31M
Total non current liabilities -0.80%1.86B-0.10%1.88B-0.06%1.89B-0.06%1.89B93.30%1.88B91.36%1.88B92.20%1.89B94.71%1.89B94.71%1.89B-0.70%974.18M
Total liabilities -2.18%2.62B-1.07%2.64B2.10%2.68B2.10%2.68B71.37%2.67B75.75%2.68B78.13%2.66B78.80%2.62B78.80%2.62B6.33%1.56B
Shareholders'equity
Share capital 0.51%395K0.51%395K0.51%393K0.51%393K0.51%393K0.77%393K0.77%393K0.51%391K0.51%391K0.51%391K
-common stock 0.51%395K0.51%395K0.51%393K0.51%393K0.51%393K0.77%393K0.77%393K0.51%391K0.51%391K0.51%391K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings 40.97%2.06B43.88%1.89B46.31%1.76B46.31%1.76B43.71%1.61B42.09%1.46B40.46%1.32B36.96%1.2B36.96%1.2B39.26%1.12B
Paid-in capital 3.97%895.75M1.59%891.53M1.64%887.37M1.64%887.37M2.73%884.73M0.38%861.54M2.52%877.56M1.70%873.03M1.70%873.03M0.61%861.23M
Less: Treasury stock 22.07%699.15M41.91%699.15M60.73%692.8M60.73%692.8M52.23%642.75M39.45%572.75M24.25%492.69M11.47%431.03M11.47%431.03M10.92%422.23M
Gains losses not affecting retained earnings -183.19%-15.88M-490.37%-20.17M-230.42%-21.92M-230.42%-21.92M---20.77M---5.61M---3.42M---6.63M---6.63M----
Total stockholders'equity 28.43%2.24B21.68%2.07B17.92%1.93B17.92%1.93B17.46%1.83B18.16%1.74B21.55%1.7B21.33%1.64B21.33%1.64B21.86%1.56B
Total equity 28.43%2.24B21.68%2.07B17.92%1.93B17.92%1.93B17.46%1.83B18.16%1.74B21.55%1.7B21.33%1.64B21.33%1.64B21.86%1.56B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----
Paper Trade Start
Symbol
Direction
Buy
Sell
Types
LMT Order
Price
QTY
Amount
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