Granite Construction
NYSE:GVA
$ 121,11
+ $1,46 (1,22%)
121,11 $
+$1,46 (1,22%)
End-of-day quote: 03/24/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

$6,07
Earnings Per Share
$101,71
Revenue Per Share
16,07%
Gross Margin %
$5,21 B
Market Cap
$0,96 B
Long-Term Debt
Earnings Per Share
$6,07
Revenue Per Share
$101,71
Gross Margin %
16,07%
Market Cap
$5,21 B
Long-Term Debt
$0,96 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share $6,07 $4,82 $3,14 $2,31 $1,33 $1,30 $-0,58 $2,34 $1,71 $1,39 $1,42 $0,60 $-0,17 $1,23 $1,37 $-0,37 $2,13 $3,21 $2,81 $2,15
Earnings Earnings $264,05M $209,33M $138,07M $101,04M $61,02M $59,53M $-26,49M $109,25M $68,21M $55,07M $55,96M $23,51M $-6,62M $47,43M $52,35M $-14,02M $82,28M $122,78M $109,45M $89,93M
RPS Revenue Per Share $101,71 $92,28 $79,81 $75,47 $65,61 $77,80 $75,43 $71,07 $74,95 $63,47 $60,16 $58,06 $58,25 $54,02 $52,59 $46,53 $50,83 $69,91 $70,29 $70,88
Revenue Revenue $4,42B $4,01B $3,51B $3,30B $3,01B $3,56B $3,45B $3,32B $2,99B $2,51B $2,37B $2,28B $2,27B $2,08B $2,01B $1,76B $1,96B $2,67B $2,74B $2,96B
OCF Operating Cash Flow $422,46M $456,34M $183,71M $55,65M $21,93M $268,46M $111,44M $86,39M $146,20M $73,15M $66,98M $43,14M $5,38M $91,79M $92,35M $29,32M $64,30M $257,34M $234,79M $0,00M
FCF Free Cash Flow $264,87M $319,94M $30,36M $-65,97M $-72,88M $175,21M $4,61M $-24,71M $78,50M $-17,82M $22,80M $40,38M $-38,30M $54,17M $47,31M $-7,69M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 5,93% 5,02% 1,60% 2,15% -1,19% -0,24% -1,66% 1,89% 1,97% 3,34% 4,05% 2,04% -0,65% 2,60% 4,26% -0,78% 6,27% 8,07% 6,12% 3,24%
GM % Gross Margin % 16,07% 14,29% 11,30% 11,19% 10,36% 9,68% 6,51% 10,19% 9,42% 11,98% 12,65% 10,54% 7,82% 11,27% 12,34% 10,08% 17,89% 17,82% 15,11% 9,96%
FCFS Free Cash Flow Per Share $7,58 $7,30 $0,99 $-1,48 $-1,59 $3,84 $0,10 $-0,57 $1,97 $-0,45 $0,58 $-0,01 $-0,99 $1,41 $1,24 $-0,20 $-0,62 $4,34 $2,84 $3,51
LT Debt Long-Term Debt $963,23M $737,94M $614,78M $286,93M $331,19M $330,52M $356,11M $335,12M $178,45M $229,50M $244,32M $275,62M $276,87M $271,07M $218,41M $242,35M $244,69M $250,69M $268,42M $78,58M
Sha. Stocks 43,5M 43,43M 43,97M 43,74M 45,88M 45,79M 45,68M 46,69M 39,89M 39,62M 39,41M 39,19M 38,92M 38,56M 38,21M 37,89M 38,63M 38,25M 38,95M 41,83M
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