Menu
Annual · values20252024202320222021
Operating Cash Flow278.48 M USD322.32 M USD335.73 M USD207.44 M USD181.24 M USD
Depreciation & Amortization193.74 M USD136.87 M USD123.81 M USD117.80 M USD100.97 M USD
Stock-Based Compensation11.39 M USD7.83 M USD2.89 M USD1.27 M USD1.85 M USD
Capital Expenditures348.04 M USD172.43 M USD124.28 M USD178.16 M USD174.23 M USD
Cash Flow from Investing-913.66 M USD-294.80 M USD-117.89 M USD-155.88 M USD-398.27 M USD
Cash Flow from Financing477.47 M USD-8.71 M USD34.39 M USD-55.32 M USD223.80 M USD
Dividends Paid
Stock Buybacks
Free Cash Flow-69.57 M USD149.90 M USD211.44 M USD29.28 M USD7.01 M USD

Knife River Corporation is a prominent player in the construction materials and services sector. Specializing in the production and distribution of a wide range of aggregate, asphalt, and ready-mix concrete products, the company serves as a critical supplier to construction projects across various regions. Its operations are integral to supporting infrastructure development, including road construction, commercial buildings, and residential projects. Knife River's comprehensive network includes quarries, distribution centers, and plants, ensuring efficient delivery and high-quality products tailored to specific project needs. The company's strong regional presence and strategic partnerships position it as a key contributor to the construction industry's supply chain. By consistently delivering reliable materials, Knife River Corporation plays a vital role in facilitating infrastructure improvement and urban development, underpinning its significant market presence and impact.