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Annual · values20252024202320222021
Operating Cash Flow5.63 B USD4.99 B USD5.02 B USD3.80 B USD3.98 B USD
Depreciation & Amortization2.16 B USD1.80 B USD1.63 B USD1.58 B USD1.55 B USD
Stock-Based Compensation143.00 M USD125.00 M USD123.00 M USD101.00 M USD110.00 M USD
Capital Expenditures2.71 B USD2.58 B USD1.82 B USD1.52 B USD1.55 B USD
Cash Flow from Investing-6.04 B USD-6.29 B USD-2.39 B USD-917.00 M USD-2.51 B USD
Cash Flow from Financing596.00 M USD-1.19 B USD-2.38 B USD-2.50 B USD-3.11 B USD
Dividends Paid
Stock Buybacks1.18 B USD1.48 B USD3.07 B USD1.18 B USD896.00 M USD
Free Cash Flow2.91 B USD2.41 B USD3.20 B USD2.28 B USD2.42 B USD

CRH plc is a leading global provider of building materials essential for construction projects worldwide. The company manufactures a diverse range of products, including aggregates, asphalt, cement, ready-mixed concrete, concrete pipes, blocks, and precast concrete elements. Operating through a vertically integrated business model, CRH plc supplies materials for infrastructure, residential, commercial, and industrial developments. Its portfolio features well-known brands such as Oldcastle Materials Group, Basalite Concrete Products, Interstate Brick, and Pacific Coast Building Products. With a strong presence across developed markets and North America as its primary region, CRH plc holds significant positions in key industries like sand and gravel mining, asphalt manufacturing, and concrete production. The company supports major construction initiatives by delivering high-quality, reliable materials from thousands of locations in 28 countries. Founded in 1970 and headquartered in Dublin, Ireland, CRH plc plays a vital role in the building materials sector, enabling the built environment through its comprehensive product offerings and operational scale.