PulteGroup Key Executives

This section highlights PulteGroup's key executives, including their titles and compensation details.

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PulteGroup Earnings

This section highlights PulteGroup's earnings, including key dates, EPS, earnings reports, and earnings call transcripts.

Next Earnings Date

Date: April 22, 2025
Time: Before Market
Est. EPS: $2.48
Status: Unconfirmed

Last Earnings Results

Date: January 30, 2025
EPS: $3.50
Est. EPS: $3.28
Revenue: $4.92B

Earnings Call Transcripts

Transcript Quarter Year Date Estimated EPS Actual EPS
Read Transcript Q4 2024 2025-01-30 $3.28 $3.50
Read Transcript Q3 2024 2024-10-22 $3.11 $3.35
Read Transcript Q2 2024 2024-07-23 $3.27 $3.77
Read Transcript Q1 2024 2024-04-23 $2.36 $2.96
Read Transcript Q4 2023 2024-01-30 $3.22 $3.28
Read Transcript Q3 2023 2023-10-24 $2.84 $2.91
Read Transcript Q2 2023 2023-07-25 $2.51 $3.00
Read Transcript Q1 2023 2023-04-25 $1.81 $2.35

PulteGroup, Inc. (PHM)

PulteGroup, Inc., through its subsidiaries, primarily engages in the homebuilding business in the United States. It acquires and develops land primarily for residential purposes; and constructs housing on such land. The company also offers various home designs, including single-family detached, townhomes, condominiums, and duplexes under the Centex, Pulte Homes, Del Webb, DiVosta Homes, American West, and John Wieland Homes and Neighborhoods brand names. As of December 31, 2021, it controlled 228,296 lots, of which 109,078 were owned and 119,218 were under land option agreements. In addition, the company arranges financing through the origination of mortgage loans primarily for homebuyers; sells the servicing rights for the originated loans; and provides title insurance policies, and examination and closing services to homebuyers. PulteGroup, Inc. was formerly known as Pulte Homes, Inc. and changed its name to PulteGroup, Inc. in March 2010. The company was founded in 1950 and is headquartered in Atlanta, Georgia.

Consumer Cyclical Residential Construction

$101.81

Stock Price

$20.52B

Market Cap

6.79K

Employees

Atlanta, GA

Location

Financial Statements

Access annual & quarterly financial statements for PulteGroup, including income statements, balance sheets, and cash flow statements..

Annual Income Statement

Breakdown December 31, 2024 December 31, 2023 December 31, 2022 December 31, 2021 December 31, 2020
Revenue $17.95B $16.06B $16.23B $13.93B $11.04B
Cost of Revenue $12.73B $11.34B $11.39B $10.14B $8.26B
Gross Profit $5.22B $4.72B $4.83B $3.78B $2.78B
Gross Profit Ratio 29.09% 29.40% 29.79% 27.20% 25.17%
Research and Development Expenses $- $- $- $- $-
General and Administrative Expenses $1.25B $1.26B $1.38B $1.16B $971.14M
Selling and Marketing Expenses $74.60M $57.50M $542 $47.20M $40.30M
Selling General and Administrative Expenses $1.32B $1.31B $1.38B $1.21B $1.01B
Other Expenses $- $- $-13.72M $-2.41M $-17.83M
Operating Expenses $1.33B $1.31B $1.38B $1.21B $1.01B
Cost and Expenses $14.05B $12.64B $12.78B $11.35B $9.27B
Interest Income $59.49M $61.53M $1.97M $1.95M $6.84M
Interest Expense $479.00K $469.00K $284.00K $502.00K $4.25M
Depreciation and Amortization $89.16M $80.82M $70.92M $69.95M $66.08M
EBITDA $3.99B $3.53B $3.52B $2.63B $1.83B
EBITDA Ratio 22.23% 21.98% 21.72% 19.42% 16.79%
Operating Income $3.90B $3.43B $3.45B $2.64B $1.79B
Operating Income Ratio 21.73% 21.32% 21.28% 18.92% 16.19%
Total Other Income Expenses Net $105.95M $24.16M $-16.75M $-63.90M $-45.93M
Income Before Tax $4.01B $3.45B $3.44B $2.51B $1.73B
Income Before Tax Ratio 22.32% 21.48% 21.19% 18.02% 15.66%
Income Tax Expense $922.62M $846.89M $822.24M $563.52M $321.86M
Net Income $3.08B $2.60B $2.62B $1.95B $1.41B
Net Income Ratio 17.18% 16.20% 16.13% 13.98% 12.75%
EPS $14.69 $11.79 $11.07 $7.44 $5.19
EPS Diluted $14.69 $11.72 $11.01 $7.43 $5.18
Weighted Average Shares Outstanding 209.89M 219.96M 235.01M 259.29M 268.55M
Weighted Average Shares Outstanding Diluted 209.83M 221.16M 236.17M 259.93M 269.41M
SEC Filing Source Source Source Source Source


Breakdown December 31, 2024 September 30, 2024 June 30, 2024 March 31, 2024 December 31, 2023 September 30, 2023 June 30, 2023 March 31, 2023 December 31, 2022 September 30, 2022 June 30, 2022 March 31, 2022 December 31, 2021 September 30, 2021 June 30, 2021 March 31, 2021 December 31, 2020 September 30, 2020 June 30, 2020 March 31, 2020
Revenue $4.92B $4.48B $4.60B $3.95B $4.29B $4.00B $4.19B $3.58B $5.17B $3.94B $3.93B $3.19B $4.36B $3.48B $3.36B $2.73B $3.19B $2.95B $2.59B $2.29B
Cost of Revenue $3.57B $3.18B $3.21B $2.78B $3.04B $2.82B $2.94B $2.54B $3.67B $2.76B $2.71B $2.26B $3.16B $2.53B $2.45B $2.00B $2.38B $2.20B $1.93B $1.74B
Gross Profit $1.35B $1.30B $1.39B $1.17B $1.25B $1.18B $1.25B $1.03B $1.50B $1.19B $1.22B $931.05M $1.19B $945.66M $912.38M $729.85M $808.94M $759.91M $659.15M $550.15M
Gross Profit Ratio 27.50% 29.10% 30.30% 29.70% 29.10% 29.50% 29.90% 28.90% 29.00% 30.10% 31.10% 29.20% 27.40% 27.20% 27.20% 26.70% 25.34% 25.72% 25.41% 23.97%
Research and Development Expenses $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
General and Administrative Expenses $- $- $- $- $250.82M $- $- $- $350.83M $- $- $- $297.02M $- $- $- $239.36M $- $- $-
Selling and Marketing Expenses $- $- $- $- $57.50M $- $- $- $542 $- $- $- $47.20M $- $- $- $40.30M $- $- $-
Selling General and Administrative Expenses $195.64M $406.90M $413.01M $357.59M $308.32M $353.17M $314.64M $336.52M $350.83M $350.11M $351.26M $329.02M $344.22M $320.51M $272.29M $271.69M $279.66M $271.26M $196.86M $263.67M
Other Expenses $- $- $51.86M $6.01M $1.86M $16.73M $13.59M $1.82M $17.11M $2.77M $2.82M $2.82M $5.60M $1.50M $-624.00K $2.40M $-5.53M $-4.48M $3.41M $2.79M
Operating Expenses $198.14M $406.90M $361.14M $357.59M $310.94M $353.03M $314.64M $336.52M $350.83M $352.88M $354.02M $331.84M $344.22M $324.12M $272.29M $276.68M $279.66M $271.26M $201.90M $268.23M
Cost and Expenses $3.76B $3.58B $3.57B $3.14B $3.36B $3.18B $3.25B $2.88B $4.02B $3.11B $3.06B $2.59B $3.51B $2.86B $2.72B $2.28B $2.66B $2.47B $2.14B $2.01B
Interest Income $11.22M $- $17.14M $17.38M $19.83M $19.30M $15.30M $7.10M $923.00K $370.00K $290.00K $388.00K $412.00K $436.00K $473.00K $631.00K $813.00K $891.00K $1.33M $3.81M
Interest Expense $127.00K $- $117.00K $115.00K $122.00K $120.00K $120.00K $107.00K $68.00K $65.00K $65.00K $86.00K $115.00K $115.00K $138.00K $135.00K $226.00K $225.00K $3.00M $797.00K
Depreciation and Amortization $24.19M $22.08M $21.83M $21.06M $21.06M $20.56M $20.07M $19.14M $18.98M $18.54M $17.21M $16.18M $16.93M $17.62M $18.27M $17.14M $17.55M $17.00M $16.39M $15.15M
EBITDA $1.18B $928.40M $1.07B $835.12M $981.14M $849.89M $958.55M $716.93M $1.17B $853.53M $885.34M $618.06M $866.47M $640.66M $655.08M $472.71M $546.34M $512.21M $487.49M $305.26M
EBITDA Ratio 24.02% 20.74% 22.87% 21.15% 22.86% 21.23% 22.88% 20.05% 22.17% 21.66% 22.58% 19.44% 19.51% 18.44% 19.05% 17.37% 17.13% 16.54% 18.46% 13.26%
Operating Income $1.16B $891.49M $1.03B $814.06M $960.52M $829.33M $938.48M $697.79M $1.13B $835.80M $868.13M $603.49M $856.03M $621.54M $635.13M $453.17M $524.24M $483.61M $457.25M $281.93M
Operating Income Ratio 23.53% 19.92% 22.40% 20.61% 22.37% 20.72% 22.40% 19.52% 21.81% 21.19% 22.11% 18.93% 19.64% 17.87% 18.91% 16.60% 16.42% 16.37% 17.63% 12.28%
Total Other Income Expenses Net $24.72M $14.71M $15.49M $54.59M $8.20M $19.32M $14.53M $4.33M $15.36M $-22.43M $-732.00K $-2.07M $5.64M $-1.14M $4.34M $-59.12M $-492.00K $-14.84M $-241.00K $-18.16M
Income Before Tax $1.18B $906.20M $1.05B $868.64M $946.82M $847.31M $953.01M $702.12M $1.16B $811.28M $864.57M $599.89M $855.92M $620.40M $639.47M $394.05M $523.75M $484.17M $457.01M $263.77M
Income Before Tax Ratio 24.03% 20.24% 22.79% 22.00% 22.05% 21.16% 22.75% 19.64% 22.50% 20.57% 22.02% 18.82% 19.64% 17.83% 19.03% 14.44% 16.41% 16.38% 17.62% 11.49%
Income Tax Expense $269.49M $208.28M $239.18M $205.67M $235.82M $208.54M $232.67M $169.86M $281.58M $183.35M $212.14M $145.17M $192.65M $144.85M $136.07M $89.94M $85.64M $67.77M $108.39M $60.06M
Net Income $913.24M $697.91M $809.13M $662.98M $710.99M $638.77M $720.35M $532.26M $882.23M $627.93M $652.43M $454.72M $663.26M $475.55M $503.40M $304.11M $438.11M $416.40M $348.62M $203.71M
Net Income Ratio 18.56% 15.59% 17.59% 16.79% 16.56% 15.96% 17.20% 14.89% 17.06% 15.92% 16.62% 14.27% 15.22% 13.67% 14.98% 11.14% 13.72% 14.09% 13.44% 8.88%
EPS $4.43 $3.38 $3.86 $3.13 $3.30 $2.92 $3.23 $2.35 $3.86 $2.72 $2.74 $1.85 $2.61 $1.83 $1.91 $1.14 $1.62 $1.54 $1.29 $0.75
EPS Diluted $4.43 $3.35 $3.83 $3.10 $3.28 $2.90 $3.21 $2.35 $3.84 $2.70 $2.73 $1.84 $2.61 $1.82 $1.90 $1.13 $1.62 $1.54 $1.29 $0.74
Weighted Average Shares Outstanding 206.30M 206.77M 209.55M 211.84M 214.40M 218.29M 222.16M 225.13M 227.20M 230.97M 236.33M 245.80M 251.64M 258.15M 262.10M 265.41M 267.56M 268.36M 268.32M 270.00M
Weighted Average Shares Outstanding Diluted 206.18M 208.46M 211.20M 213.55M 215.76M 219.68M 223.39M 225.96M 228.10M 232.30M 237.65M 246.87M 252.22M 258.90M 262.75M 266.01M 268.23M 268.96M 269.02M 271.22M
SEC Filing Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source

Annual Balance Sheet

Breakdown December 31, 2024 December 31, 2023 December 31, 2022 December 31, 2021 December 31, 2020
Cash and Cash Equivalents $1.61B $1.81B $1.05B $1.78B $2.58B
Short Term Investments $629.58M $516.06M $677.21M $947.14M $564.98M
Cash and Short Term Investments $2.24B $2.32B $1.05B $1.78B $2.58B
Net Receivables $-1.67B $236.13M $217.33M $289.99M $200.55M
Inventory $12.67B $12.52B $11.33B $9.05B $7.72B
Other Current Assets $3.34B $311.46M $785.98M $648.36M $498.33M
Total Current Assets $16.58B $15.37B $13.14B $11.86B $10.95B
Property Plant Equipment Net $346.99M $298.89M $273.75M $223.47M $203.02M
Goodwill $68.93M $68.93M $68.90M $68.90M $68.90M
Intangible Assets $46.30M $56.34M $66.91M $78.02M $94.53M
Goodwill and Intangible Assets $115.23M $125.27M $135.81M $146.92M $163.43M
Long Term Investments $215.42M $166.91M $146.76M $98.16M $35.56M
Tax Assets $55.04M $64.76M $82.35M $139.04M $136.27M
Other Non-Current Assets $37.95M $57.35M $1.02B $887.50M $720.25M
Total Non-Current Assets $770.63M $713.18M $1.66B $1.50B $1.26B
Other Assets $14.73M $4.06M $- $- $-
Total Assets $17.36B $16.09B $14.80B $13.35B $12.21B
Account Payables $728.00M $619.01M $565.98M $533.71M $426.82M
Short Term Debt $- $521.37M $1.44B $649.75M $11.97M
Tax Payables $76.00M $62.40M $98.71M $72.13M $103.55M
Deferred Revenue $512.58M $675.09M $783.56M $844.78M $449.47M
Other Current Liabilities $179.40M $371.83M $-549.36M $296.09M $931.44M
Total Current Liabilities $1.50B $2.25B $3.03B $3.04B $2.37B
Long Term Debt $2.25B $2.03B $2.14B $2.12B $3.26B
Deferred Revenue Non-Current $- $- $-12.38M $-12.38M $-11.97M
Deferred Tax Liabilities Non-Current $- $302.15M $215.45M $165.52M $103.55M
Other Non-Current Liabilities $855.45M $1.12B $1.93B $1.96B $-91.36M
Total Non-Current Liabilities $3.11B $3.45B $2.85B $2.82B $3.27B
Other Liabilities $635.85M $- $- $- $-
Total Liabilities $5.24B $5.70B $5.88B $5.86B $5.64B
Preferred Stock $- $- $- $- $-
Common Stock $2.03M $2.13M $2.26M $2.49M $2.67M
Retained Earnings $8.69B $7.01B $5.58B $4.20B $3.31B
Accumulated Other Comprehensive Income Loss $- $-0 $- $-45.00K $-145.00K
Other Total Stockholders Equity $3.43B $3.37B $3.33B $3.29B $3.26B
Total Stockholders Equity $12.12B $10.38B $8.91B $7.49B $6.57B
Total Equity $12.12B $10.38B $8.91B $7.49B $6.57B
Total Liabilities and Stockholders Equity $17.36B $16.09B $14.80B $13.35B $12.21B
Minority Interest $- $- $- $- $-
Total Liabilities and Total Equity $17.36B $16.09B $14.80B $13.35B $12.21B
Total Investments $845.00M $682.98M $146.76M $1.05B $600.54M
Total Debt $2.25B $2.55B $2.63B $2.66B $3.16B
Net Debt $641.19M $746.82M $1.58B $876.08M $581.92M


Balance Sheet Charts

Breakdown December 31, 2024 September 30, 2024 June 30, 2024 March 31, 2024 December 31, 2023 September 30, 2023 June 30, 2023 March 31, 2023 December 31, 2022 September 30, 2022 June 30, 2022 March 31, 2022 December 31, 2021 September 30, 2021 June 30, 2021 March 31, 2021 December 31, 2020 September 30, 2020 June 30, 2020 March 31, 2020
Cash and Cash Equivalents $1.61B $1.40B $1.45B $1.77B $1.81B $1.85B $1.73B $1.28B $1.05B $231.30M $662.78M $1.15B $1.78B $1.57B $1.66B $1.58B $2.58B $2.07B $1.66B $1.82B
Short Term Investments $629.58M $556.66M $569.39M $570.84M $516.06M $414.36M $432.48M $420.64M $677.21M $3.18M $553.79M $510.27M $947.14M $601.41M $581.15M $495.05M $564.98M $400.07M $394.29M $363.85M
Cash and Short Term Investments $2.24B $1.95B $1.45B $1.77B $2.32B $1.85B $1.73B $1.28B $1.05B $231.30M $662.78M $1.15B $1.78B $1.57B $1.66B $1.58B $2.58B $2.07B $1.66B $1.82B
Net Receivables $-1.67B $- $- $- $209.20M $- $- $- $217.33M $- $553.79M $510.27M $289.99M $601.41M $581.15M $495.05M $200.55M $400.07M $394.29M $363.85M
Inventory $12.67B $12.67B $12.32B $12.13B $11.80B $11.59B $11.34B $11.43B $11.33B $11.77B $10.73B $9.87B $9.05B $8.92B $8.38B $7.98B $7.72B $7.62B $7.58B $7.86B
Other Current Assets $3.34B $- $- $- $1.02B $- $- $- $785.98M $- $- $- $648.36M $- $- $- $498.33M $- $- $-
Total Current Assets $16.58B $14.12B $13.77B $13.90B $15.37B $13.93B $13.58B $13.23B $13.14B $12.54B $12.05B $11.62B $11.86B $11.16B $10.72B $10.15B $10.95B $10.16B $9.71B $10.10B
Property Plant Equipment Net $346.99M $72.70M $73.80M $76.50M $298.89M $69.90M $73.00M $72.90M $273.75M $69.30M $70.80M $71.00M $223.47M $78.00M $80.40M $69.00M $203.02M $73.50M $76.70M $76.20M
Goodwill $68.93M $68.93M $68.93M $68.93M $68.93M $68.93M $68.93M $68.93M $68.90M $- $- $- $68.90M $- $- $- $68.90M $20.19K $20.19K $20.19K
Intangible Assets $46.30M $48.80M $51.30M $53.80M $56.34M $58.96M $61.58M $64.20M $66.91M $138.57M $141.34M $144.10M $78.02M $149.85M $153.46M $158.43M $94.53M $168.45M $173.49M $178.53M
Goodwill and Intangible Assets $115.23M $117.73M $120.23M $122.73M $125.27M $127.89M $130.51M $68.93M $135.81M $138.57M $141.34M $144.10M $146.92M $149.85M $153.46M $158.43M $163.43M $168.47M $173.51M $178.55M
Long Term Investments $215.42M $213.02M $868.73M $774.96M $166.91M $162.29M $151.29M $144.66M $146.76M $158.09M $150.50M $106.06M $98.16M $64.28M $44.80M $39.56M $35.56M $41.72M $47.71M $54.49M
Tax Assets $55.04M $47.71M $54.29M $61.95M $64.76M $65.86M $68.94M $79.35M $82.35M $109.15M $120.52M $131.63M $139.04M $141.76M $143.44M $132.20M $136.27M $80.83M $120.77M $150.39M
Other Non-Current Assets $37.95M $1.83B $1.66B $1.56B $61.41M $1.36B $1.22B $1.17B $1.02B $1.20B $1.17B $1.10B $887.50M $975.87M $940.12M $900.44M $720.25M $843.89M $833.57M $859.33M
Total Non-Current Assets $770.63M $2.28B $2.77B $2.60B $717.24M $1.78B $1.65B $1.54B $1.66B $1.67B $1.65B $1.55B $1.50B $1.41B $1.36B $1.30B $1.26B $1.21B $1.25B $1.32B
Other Assets $14.73M $556.66M $- $- $- $- $- $64.20M $- $- $- $- $- $- $- $- $- $- $- $-
Total Assets $17.36B $16.96B $16.54B $16.50B $16.09B $15.72B $15.23B $14.83B $14.80B $14.21B $13.70B $13.16B $13.35B $12.57B $12.08B $11.45B $12.21B $11.37B $10.96B $11.42B
Account Payables $728.00K $704.66M $651.58M $575.07M $619.01M $567.56M $543.42M $488.76M $565.98M $599.36M $750.51M $628.82M $533.71M $490.72M $441.83M $404.56M $426.82M $342.28M $295.25M $429.72M
Short Term Debt $- $21.04M $554.94M $- $- $- $- $- $1.44B $- $11.51M $- $- $- $- $- $- $- $- $-
Tax Payables $76.00M $- $381.02M $336.78M $62.40M $- $- $- $98.71M $- $- $- $- $- $- $- $- $15.77M $146.73M $72.55M
Deferred Revenue $- $597.82M $654.43M $698.77M $675.09M $769.89M $797.25M $796.38M $783.56M $979.53M $1.03B $998.94M $844.78M $823.54M $731.00M $589.63M $449.47M $403.65M $335.04M $344.97M
Other Current Liabilities $1.42B $1.97B $322.09M $1.63B $1.69B $1.21B $980.69M $1.13B $-549.36M $1.19B $876.48M $851.37M $1.02B $1.02B $969.50M $961.45M $1.49B $1.09B $1.14B $1.86B
Total Current Liabilities $1.50B $3.29B $3.22B $3.24B $1.56B $2.97B $2.88B $2.96B $3.03B $3.17B $3.31B $3.15B $3.04B $2.77B $2.61B $2.35B $2.37B $2.10B $2.08B $2.17B
Long Term Debt $2.25B $1.70B $1.72B $2.03B $2.03B $2.48B $2.42B $2.43B $2.14B $2.78B $2.54B $2.50B $2.10B $2.63B $2.49B $2.38B $3.26B $2.87B $2.86B $3.81B
Deferred Revenue Non-Current $-635.85M $-597.82M $71.19M $-1.37B $370.76M $-334.19K $-298.26K $-243.43K $-12.38M $-501.60K $-1.20B $-174.99K $-12.38M $-125.02K $-118.12K $-113.49K $-11.97M $- $335.04M $344.97M
Deferred Tax Liabilities Non-Current $443.57M $401.14M $381.02M $336.78M $302.15M $331.37M $295.44M $240.60M $215.45M $179.14M $167.84M $171.53M $165.52M $121.91M $115.52M $110.88M $103.55M $- $- $-
Other Non-Current Liabilities $411.89M $- $-71.57M $698.77M $322.90M $344.44M $481.67M $471.94M $1.93B $322.37M $-429.93M $602.80M $1.98B $347.04M $378.37M $318.81M $-91.36M $403.65M $-760.99M $-970.00M
Total Non-Current Liabilities $3.11B $2.10B $2.10B $2.49B $4.15B $2.74B $2.64B $2.61B $2.85B $2.88B $2.64B $2.60B $2.82B $2.66B $2.51B $2.41B $3.27B $3.03B $3.03B $3.73B
Other Liabilities $635.85M $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Total Liabilities $5.24B $5.39B $5.32B $5.73B $5.70B $5.70B $5.52B $5.57B $5.88B $6.05B $5.96B $5.75B $5.86B $5.43B $5.12B $4.76B $5.64B $5.13B $5.11B $5.89B
Preferred Stock $- $- $- $- $- $- $- $0 $- $- $- $- $- $- $- $- $- $- $- $-
Common Stock $2.03M $2.05M $2.08M $2.11M $2.13M $2.16M $2.20M $2.23M $2.26M $2.28M $2.33M $2.40M $2.49M $2.55M $2.60M $2.64M $2.67M $2.68M $2.68M $2.68M
Retained Earnings $8.69B $8.15B $7.82B $7.37B $7.01B $6.65B $6.35B $5.92B $5.58B $4.84B $4.42B $4.10B $4.20B $3.85B $3.68B $3.41B $3.31B $2.98B $2.60B $2.28B
Accumulated Other Comprehensive Income Loss $- $- $- $-0 $-0 $- $-0 $-0 $- $- $- $-20.00K $-45.00K $-70.00K $-95.00K $-120.00K $-145.00K $-170.00K $-195.00K $-220.00K
Other Total Stockholders Equity $3.43B $3.41B $3.40B $3.39B $3.37B $3.36B $3.35B $3.35B $3.33B $3.33B $3.32B $3.31B $3.29B $3.29B $3.28B $3.27B $3.26B $3.26B $3.25B $3.25B
Total Stockholders Equity $12.12B $11.56B $11.22B $10.76B $10.38B $10.01B $9.71B $9.26B $8.91B $8.16B $7.75B $7.41B $7.49B $7.14B $6.96B $6.69B $6.57B $6.24B $5.85B $5.53B
Total Equity $12.12B $11.56B $11.22B $10.76B $10.38B $10.01B $9.71B $9.26B $8.91B $8.16B $7.75B $7.41B $7.49B $7.14B $6.96B $6.69B $6.57B $6.24B $5.85B $5.53B
Total Liabilities and Stockholders Equity $17.36B $16.96B $16.54B $16.50B $16.09B $15.72B $15.23B $14.83B $14.80B $14.21B $13.70B $13.16B $13.35B $12.57B $12.08B $11.45B $12.21B $11.37B $10.96B $11.42B
Minority Interest $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Total Liabilities and Total Equity $17.36B $16.96B $16.54B $16.50B $16.09B $15.72B $15.23B $14.83B $14.80B $14.21B $13.70B $13.16B $13.35B $12.57B $12.08B $11.45B $12.21B $11.37B $10.96B $11.42B
Total Investments $845.00M $215.72M $868.73M $774.96M $682.98M $162.29M $151.29M $144.66M $146.76M $158.09M $173.52M $616.33M $1.05B $665.69M $625.95M $534.61M $600.54M $441.79M $442.00M $418.35M
Total Debt $2.25B $2.15B $2.26B $2.49B $2.55B $2.41B $2.35B $2.37B $2.63B $2.70B $2.47B $2.43B $2.66B $2.54B $2.40B $2.30B $3.16B $3.03B $3.03B $3.73B
Net Debt $641.19M $750.12M $815.27M $725.10M $746.82M $558.32M $620.06M $1.09B $1.58B $2.47B $1.81B $1.28B $876.08M $968.10M $735.69M $723.17M $581.92M $960.74M $1.37B $1.91B

Annual Cash Flow

Breakdown December 31, 2024 December 31, 2023 December 31, 2022 December 31, 2021 December 31, 2020
Net Income $3.08B $2.60B $2.62B $1.95B $1.41B
Depreciation and Amortization $89.16K $80.82M $70.92M $69.95M $66.08M
Deferred Income Tax $151.10K $104.27M $106.58M $59.17M $137.60M
Stock Based Compensation $54.69K $48.20M $42.99M $36.74M $32.84M
Change in Working Capital $-1.39B $-680.60M $-2.24B $-1.17B $101.60M
Accounts Receivables $- $196.88M $- $- $-201.65M
Inventory $-787.48K $-354.02M $-2.26B $-1.27B $2.99M
Accounts Payables $-286.46K $-196.88M $-104.76M $640.68M $201.65M
Other Working Capital $-1.39B $-326.58M $125.55M $-542.72M $98.61M
Other Non Cash Items $-12.34M $41.70M $66.56M $60.27M $39.38M
Net Cash Provided by Operating Activities $1.68B $2.20B $668.47M $1.00B $1.78B
Investments in Property Plant and Equipment $-118.55M $-92.20M $-112.66M $-72.78M $-58.35M
Acquisitions Net $- $- $-75.10M $-111.99M $-84.00M
Purchases of Investments $- $- $-64.70M $-101.59M $-753.00K
Sales Maturities of Investments $- $- $64.70M $101.59M $753.00K
Other Investing Activities $24.07M $-36.89M $16.02M $60.64M $34.41M
Net Cash Used for Investing Activities $-94.48M $-129.09M $-171.74M $-124.13M $-107.95M
Debt Repayment $-355.83M $-210.37M $-44.27M $-622.59M $19.98M
Common Stock Issued $- $- $- $- $-
Common Stock Repurchased $-1.22B $-1.01B $-1.09B $-908.14M $-185.53M
Dividends Paid $-167.71M $-142.46M $-144.12M $-147.83M $-130.18M
Other Financing Activities $-39.69M $51.78M $41.65M $11.00K $111.00K
Net Cash Used Provided by Financing Activities $-1.78B $-1.31B $-1.24B $-1.68B $-295.62M
Effect of Forex Changes on Cash $- $- $- $- $-
Net Change in Cash $-195.50M $754.62M $-739.01M $-798.67M $1.38B
Cash at End of Period $1.65B $1.85B $1.09B $1.83B $2.63B
Cash at Beginning of Period $1.85B $1.09B $1.83B $2.63B $1.25B
Operating Cash Flow $1.68B $2.20B $668.47M $1.00B $1.78B
Capital Expenditure $-118.55M $-92.20M $-112.66M $-72.78M $-58.35M
Free Cash Flow $1.56B $2.10B $555.80M $931.24M $1.73B

Cash Flow Charts

Breakdown December 31, 2024 September 30, 2024 June 30, 2024 March 31, 2024 December 31, 2023 September 30, 2023 June 30, 2023 March 31, 2023 December 31, 2022 September 30, 2022 June 30, 2022 March 31, 2022 December 31, 2021 September 30, 2021 June 30, 2021 March 31, 2021 December 31, 2020 September 30, 2020 June 30, 2020 March 31, 2020
Net Income $913.24M $697.91M $809.13M $662.98M $710.99M $638.77M $720.35M $532.26M $882.23M $627.93M $652.43M $454.72M $663.26M $475.55M $503.40M $304.11M $438.11M $416.40M $348.62M $203.71M
Depreciation and Amortization $24.19M $22.08M $21.83M $21.06M $21.06M $20.56M $20.07M $19.14M $18.98M $18.54M $17.21M $16.18M $16.93M $17.62M $18.27M $17.14M $17.55M $17.00M $16.39M $15.15M
Deferred Income Tax $35.08M $26.69M $51.89M $37.43M $-28.12M $39.00M $65.24M $28.15M $63.10M $22.66M $7.42M $13.41M $46.33M $8.06M $-6.61M $11.39M $48.11M $39.83M $29.71M $19.95M
Stock Based Compensation $15.44M $10.16M $12.50M $16.59M $9.80M $10.44M $15.47M $12.49M $3.47M $9.88M $13.03M $16.61M $8.31M $6.84M $9.97M $11.63M $7.83M $8.33M $5.20M $11.48M
Change in Working Capital $-419.98M $-310.56M $-481.13M $-465.22M $-450.68M $-256.29M $-86.23M $112.60M $-29.64M $-1.11B $-801.03M $-295.60M $-274.28M $-395.12M $-269.36M $-229.67M $-2.28M $-22.39M $200.96M $-74.69M
Accounts Receivables $- $- $-572.00K $- $-326.58M $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-26.91M
Inventory $17.86M $472.86M $-184.42M $-289.25M $-180.64M $-225.38M $137.41M $-85.41M $449.45M $-1.02B $-868.36M $-814.77M $-129.05M $-504.70M $-388.70M $-243.95M $-81.27M $-17.51M $291.13M $-189.36M
Accounts Payables $-246.34M $82.89M $-109.93M $-13.07M $177.05M $86.50M $-180.14M $-83.40M $-223.95M $-161.53M $163.07M $117.65M $245.79M $159.85M $236.40M $-1.35K $- $- $- $3.40K
Other Working Capital $-191.49M $-866.31M $-186.78M $-162.91M $-120.51M $-117.41M $-43.50M $281.41M $-255.14M $74.91M $-95.74M $401.52M $-391.02M $-50.26M $119.34M $14.28M $78.99M $-4.88M $-90.17M $141.58M
Other Non Cash Items $-367.00K $9.63M $353.83M $327.98M $25.37M $5.27M $4.33M $6.73M $34.24M $24.36M $1.11M $2.34M $-4.75M $3.21M $-349.00K $62.15M $6.40M $1.59M $2.38M $29.02M
Net Cash Provided by Operating Activities $567.61M $455.92M $417.55M $239.79M $288.42M $457.76M $739.22M $711.37M $972.39M $-406.27M $-105.32M $207.67M $455.80M $116.16M $255.32M $176.75M $515.72M $460.75M $603.26M $204.62M
Investments in Property Plant and Equipment $-24.48M $-38.75M $-31.24M $-24.08M $-24.64M $-22.48M $-21.33M $-23.74M $-24.08M $-26.03M $-31.87M $-30.69M $-20.65M $-20.59M $-16.80M $-14.75M $-11.43M $-10.18M $-16.61M $-20.14M
Acquisitions Net $-932.00K $- $-5.14M $-3.96M $-5.34M $-10.20M $-6.74M $-1.12M $-6.55M $-7.67M $-43.80M $-17.08M $-65.78M $-19.89M $-7.75M $-18.57M $-90.00K $-13.61M $7.06M $-77.36M
Purchases of Investments $- $- $-5.14M $-3.96M $-5.34M $-10.20M $-6.74M $-1.12M $-6.55M $-7.67M $-43.80M $-6.68M $-65.78M $-19.89M $-7.75M $- $- $- $- $-
Sales Maturities of Investments $- $- $3.47M $3.40M $97.55M $10.20M $6.74M $1.12M $6.55M $7.67M $- $- $- $- $- $- $- $- $- $-
Other Investing Activities $39.29M $-3.40M $-3.01M $-2.26M $-96.28M $-8.35M $-1.71M $646.00K $13.57M $2.15M $-2.51M $-199.00K $48.76M $1.40M $4.79M $5.70M $12.75M $20.06M $-109.00K $1.71M
Net Cash Used for Investing Activities $13.87M $-42.15M $-39.39M $-26.89M $-34.06M $-41.03M $-29.78M $-24.21M $-17.05M $-31.55M $-75.17M $-47.97M $-37.66M $-39.08M $-19.76M $-27.62M $1.23M $-3.73M $-9.65M $-95.80M
Debt Repayment $-2.56M $-32.12M $-317.44M $23.57M $37.67M $40.38M $-21.67M $-266.76M $-70.48M $213.67M $31.36M $-229.99M $-39.50M $123.88M $-2.96M $-935.44M $108.50M $-8.20M $-714.50M $634.18M
Common Stock Issued $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Common Stock Repurchased $-320.13M $-320.84M $-314.19M $-263.44M $-301.58M $-300.02M $-250.33M $-160.06M $-100.00M $-181.16M $-294.23M $-513.61M $-283.20M $-260.63M $-200.04M $-164.27M $-75.00M $- $-15.00K $-110.51M
Dividends Paid $-41.15M $-41.67M $-42.21M $-42.68M $-34.78M $-35.36M $-35.94M $-36.38M $-34.52M $-35.40M $-36.40M $-37.80M $-36.14M $-36.79M $-37.30M $-37.61M $-32.42M $-32.42M $-32.59M $-32.74M
Other Financing Activities $-19.10M $-9.98M $-24.45M $4.16M $-6.05M $51.00K $49.43M $8.35M $52.81M $- $- $- $149.62M $- $81.81M $11.00K $- $12.00K $49.00K $50.00K
Net Cash Used Provided by Financing Activities $-382.94M $-404.60M $-698.29M $-295.99M $-304.74M $-294.94M $-258.51M $-454.85M $-152.18M $-2.89M $-299.27M $-781.39M $-209.22M $-173.54M $-158.49M $-1.14B $1.08M $-40.61M $-747.06M $490.98M
Effect of Forex Changes on Cash $- $- $- $- $-754.62M $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Net Change in Cash $198.54M $9.17M $-320.12M $-83.09M $-50.38M $121.78M $450.93M $232.30M $803.15M $-440.71M $-479.77M $-621.70M $208.91M $-96.47M $77.07M $-988.18M $518.03M $416.41M $-153.46M $599.80M
Cash at End of Period $1.65B $1.46B $1.45B $1.77B $1.85B $1.90B $1.78B $1.33B $1.09B $291.40M $732.10M $1.21B $1.83B $1.62B $1.72B $1.64B $2.63B $2.11B $1.70B $1.85B
Cash at Beginning of Period $1.46B $1.45B $1.77B $1.85B $1.90B $1.78B $1.33B $1.09B $291.40M $732.10M $1.21B $1.83B $1.62B $1.72B $1.64B $2.63B $2.11B $1.70B $1.85B $1.25B
Operating Cash Flow $567.61M $455.92M $417.55M $239.79M $288.42M $457.76M $739.22M $711.37M $972.39M $-406.27M $-105.32M $207.67M $455.80M $116.16M $255.32M $176.75M $515.72M $460.75M $603.26M $204.62M
Capital Expenditure $-24.48M $-38.75M $-31.24M $-24.08M $-24.64M $-22.48M $-21.33M $-23.74M $-24.08M $-26.03M $-31.87M $-30.69M $-20.65M $-20.59M $-16.80M $-14.75M $-11.43M $-10.18M $-16.61M $-20.14M
Free Cash Flow $543.13M $417.17M $386.31M $215.71M $263.78M $435.28M $717.88M $687.62M $948.32M $-432.30M $-137.19M $176.98M $435.15M $95.57M $238.53M $162.00M $504.29M $450.57M $586.65M $184.48M

PulteGroup Dividends

Explore PulteGroup's dividend history, including dividend yield, payout ratio, and historical payments.

Dividend Yield

0.73%

Dividend Payout Ratio

5.44%

Dividend Paid & Capex Coverage Ratio

5.87x

PulteGroup Dividend History

Dividend Adjusted Dividend Date Record Date Payment Date Declaration Date
$0.22 $0.22 March 18, 2025 March 18, 2025 April 02, 2025 February 05, 2025
$0.22 $0.22 December 17, 2024 December 17, 2024 January 03, 2025 November 14, 2024
$0.2 $0.2 September 17, 2024 September 17, 2024 October 02, 2024 September 04, 2024
$0.2 $0.2 June 18, 2024 June 18, 2024 July 02, 2024 May 06, 2024
$0.2 $0.2 March 14, 2024 March 15, 2024 April 02, 2024 February 01, 2024
$0.2 $0.2 December 18, 2023 December 19, 2023 January 03, 2024 November 16, 2023
$0.16 $0.16 September 15, 2023 September 18, 2023 October 03, 2023 September 06, 2023
$0.16 $0.16 June 16, 2023 June 20, 2023 July 05, 2023 May 03, 2023
$0.16 $0.16 March 17, 2023 March 20, 2023 April 04, 2023 February 01, 2023
$0.16 $0.16 December 13, 2022 December 14, 2022 January 03, 2023 December 01, 2022
$0.15 $0.15 September 21, 2022 September 22, 2022 October 04, 2022 September 07, 2022
$0.15 $0.15 June 09, 2022 June 10, 2022 July 05, 2022 May 04, 2022
$0.15 $0.15 March 14, 2022 March 15, 2022 April 05, 2022 February 03, 2022
$0.15 $0.15 December 14, 2021 December 15, 2021 January 04, 2022 December 01, 2021
$0.14 $0.14 September 17, 2021 September 20, 2021 October 05, 2021 September 08, 2021
$0.14 $0.14 June 10, 2021 June 11, 2021 July 02, 2021 May 12, 2021
$0.14 $0.14 March 11, 2021 March 12, 2021 April 01, 2021 February 03, 2021
$0.14 $0.14 December 15, 2020 December 16, 2020 January 05, 2021 December 03, 2020
$0.12 $0.12 September 18, 2020 September 21, 2020 October 06, 2020 September 09, 2020
$0.12 $0.12 June 11, 2020 June 12, 2020 July 02, 2020 May 08, 2020

PulteGroup News

Read the latest news about PulteGroup, including recent articles, headlines, and updates.

Del Webb Opens Highly Sought-After Active Adult Community in Cleveland

CLEVELAND--(BUSINESS WIRE)--Del Webb, the nation's leading builder of active adult communities for those 55 and older, announced today the successful opening of Del Webb Hickory Greens. Located in Columbia Township just southwest of Cleveland, Del Webb Hickory Greens offers a vibrant lifestyle for active adults seeking a low-maintenance, amenity-rich community in the Midwest. Within the first 30 days of opening Del Webb Hickory Greens, 50 homes were already sold in this sought-after community.

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PulteGroup (PHM) Stock Declines While Market Improves: Some Information for Investors

The latest trading day saw PulteGroup (PHM) settling at $105.32, representing a -0.5% change from its previous close.

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Investors Heavily Search PulteGroup, Inc. (PHM): Here is What You Need to Know

PulteGroup (PHM) has received quite a bit of attention from Zacks.com users lately. Therefore, it is wise to be aware of the facts that can impact the stock's prospects.

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PulteGroup: At 8x Earnings, This Homebuilder Is Priced For No Growth

PulteGroup's shares are undervalued at 8.2x trailing earnings, offering a strong investment opportunity with a robust balance sheet and financial flexibility. The company delivered strong quarterly results, beating revenue and EPS estimates, with a significant increase in home sale revenues and a healthy buyer mix. PulteGroup's financial health is solid, with $1.7 billion in cash, low debt levels, and investment-grade ratings, supporting ongoing buybacks and dividends.

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Is It Worth Investing in PulteGroup (PHM) Based on Wall Street's Bullish Views?

When deciding whether to buy, sell, or hold a stock, investors often rely on analyst recommendations. Media reports about rating changes by these brokerage-firm-employed (or sell-side) analysts often influence a stock's price, but are they really important?

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Analyst Predicts Moderate Decline In Housing Starts For 2025, Upgrades PulteGroup

Seaport Global analyst Kenneth Zener upgraded PulteGroup PHM from Sell to Neutral and announced a price forecast of $100.

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PulteGroup (PHM) Rises As Market Takes a Dip: Key Facts

In the most recent trading session, PulteGroup (PHM) closed at $102.90, indicating a +0.85% shift from the previous trading day.

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How Del Webb Explore Expands PulteGroup's Market Opportunity

PHM's new Del Webb Explore brand targets Gen X buyers seeking luxury resort-style communities.

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PulteGroup Introduces Del Webb Explore – The Next Generation of Resort Living

ATLANTA--(BUSINESS WIRE)--Building upon Del Webb's highly sought-after lifestyle communities for 55-plus homebuyers, PulteGroup Inc. (NYSE: PHM), one of the nation's largest homebuilders, today introduced a new resort lifestyle-inspired brand targeting homebuyers of any generation: Del Webb Explore. Del Webb Explore addresses the demand from Gen X buyers seeking resort-style living. This new offering captures the essence of Del Webb's signature resort experience, which features amenities such a.

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PulteGroup (PHM) Stock Dips While Market Gains: Key Facts

In the closing of the recent trading day, PulteGroup (PHM) stood at $104.45, denoting a -1.68% change from the preceding trading day.

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Is Trending Stock PulteGroup, Inc. (PHM) a Buy Now?

Recently, Zacks.com users have been paying close attention to PulteGroup (PHM). This makes it worthwhile to examine what the stock has in store.

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Is PulteGroup (PHM) a Buy as Wall Street Analysts Look Optimistic?

The recommendations of Wall Street analysts are often relied on by investors when deciding whether to buy, sell, or hold a stock. Media reports about these brokerage-firm-employed (or sell-side) analysts changing their ratings often affect a stock's price.

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PulteGroup Pilots Innovative New Construction Process

ATLANTA--(BUSINESS WIRE)--PulteGroup (NYSE: PHM), one of the nation's largest homebuilders, continued to test innovative new technologies with the successful pilot of robotic-assisted construction. The test was conducted in the company's DiVosta community of TerraWalk at Babcock Ranch, America's first solar-powered town, representing the latest advancement in PulteGroup's ongoing efforts to advance homebuilding through technology and innovation. PulteGroup partnered with Australian-based FBR fo.

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Home Builder Stocks Are on Track for Worst February in 5 Years. What's Dragging Them Down.

High construction costs, rising mortgage rates, and looming tariffs are pressuring the stocks.

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PulteGroup, Inc. (PHM) is Attracting Investor Attention: Here is What You Should Know

Recently, Zacks.com users have been paying close attention to PulteGroup (PHM). This makes it worthwhile to examine what the stock has in store.

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New Park, Splash Pad For Bolingbrook Park District

BOLINGBROOK, IL — The Bolingbrook Park District will expand its offerings with a new park opening this spring in the Sawgrass subdivision. In addition to the new park, the park district will also open a new spray pad at Central Park, also in the spring. "We are excited for these projects that have been in development this past year," Bolingbrook Park District Executive Director Mike Selep told Patch. Selep said the spray pad at Central Park will be opening in the late spring, across from the skate park. Central Park is at 201 Recreation Drive. "[The spray pad] contains 16 spray features as well as shade structures, benches and picnic tables," Selep said. "Plans are for it to be open on a daily basis during the late spring and summer months. This makes a great addition." Not only will the spray pad open in the spring, but the park district will celebrate its newest park, Jerry Hix Park, on April 26. Located in the Sawgrass subdivision, Selep said the park was developed by Pulte Homes and then transferred to the park district in October. The park is a 4.84 parcel of open space, and has a playground, walking trails, open green space, pavilion/shelter, picnic tables and basketball court, Selep said. The dedication for the park will begin at 9:45 a.m. on April 26, followed by the Bolingbrook Arbor Day Tree Planting celebration at 10 a.m.

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PulteGroup Announces Quarterly Cash Dividend of $0.22 Per Share

ATLANTA--(BUSINESS WIRE)--PulteGroup, Inc. (NYSE: PHM) announced today that its Board of Directors has declared a quarterly dividend of $0.22 per common share payable April 2, 2025, to shareholders of record at the close of business on March 18, 2025. About PulteGroup PulteGroup, Inc. (NYSE: PHM), based in Atlanta, Georgia, is one of America's largest homebuilding companies with operations in more than 45 markets throughout the country. Through its brand portfolio that includes Centex, Pulte Ho.

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PulteGroup Expands Build Your Future Scholarship in 2025 to Build Next Generation Leaders and Workforce for Homebuilding Industry

ATLANTA--(BUSINESS WIRE)--PulteGroup, Inc. (NYSE: PHM) has partnered with The SkillPointe Foundation to launch a new $100,000 investment in scholarships that began last month for individuals of all backgrounds pursuing careers related to residential homebuilding and technology. In recognition of PulteGroup's 75th anniversary, the company expanded its investment in the “Build Your Future” SkillPointe Scholarship. The program will award 20 scholarships, divided between students pursuing universit.

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Homebuilder Stocks Sink on Worries Trump Tariffs Could Raise Costs

Shares of several homebuilders and construction companies lost ground Monday on worries that new tariffs could raise building costs.

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PulteGroup, Inc. (PHM) Is a Trending Stock: Facts to Know Before Betting on It

PulteGroup (PHM) has received quite a bit of attention from Zacks.com users lately. Therefore, it is wise to be aware of the facts that can impact the stock's prospects.

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PulteGroup: Cheap With High Demand In 2025

PulteGroup, Inc. reported a strong Q4 with a 17.2% revenue increase, driven by higher home closings and average selling prices. Despite margin pressures, PulteGroup's administrative expenses improved significantly, contributing to strong income growth. New orders dipped slightly, but the value of these orders rose 4%, and the backlog remains robust at 10,153 homes valued at $6.5 billion.

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PulteGroup's Q4 Earnings & Revenues Top, Net New Orders Down

PHM's fourth-quarter 2024 results reflect solid housing demand trends despite elevated mortgage rates. Tune in to learn about the stock's quarterly earnings.

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PulteGroup Inc. (PHM) Q4 2024 Earnings Call Transcript

PulteGroup Inc. (NYSE:PHM ) Q4 2024 Earnings Conference Call January 30, 2025 8:30 AM ET Company Participants Robert O'Shaughnessy - Executive Vice President & Chief Financial Officer Ryan Marshall - President & Chief Executive Officer Jim Ossowski - Incoming Executive Vice President & Chief Financial Officer Conference Call Participants John Lovallo - UBS Carl Reichardt - BTIG Stephen Kim - Evercore ISI Alan Ratner - Zelman & Associates Michael Rehaut - JPMorgan Trevor Allinson - Wolfe Research Matthew Bouley - Barclays Rafe Jadrosich - Bank of America Operator Good morning ladies and gentlemen and thank you for standing by. My name is Kelvin [ph] and I will be your conference operator today.

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PulteGroup (PHM) Reports Q4 Earnings: What Key Metrics Have to Say

The headline numbers for PulteGroup (PHM) give insight into how the company performed in the quarter ended December 2024, but it may be worthwhile to compare some of its key metrics to Wall Street estimates and the year-ago actuals.

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PulteGroup (PHM) Q4 Earnings and Revenues Surpass Estimates

PulteGroup (PHM) came out with quarterly earnings of $3.50 per share, beating the Zacks Consensus Estimate of $3.24 per share. This compares to earnings of $3.28 per share a year ago.

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PulteGroup Reports Fourth Quarter 2024 Financial Results

ATLANTA--(BUSINESS WIRE)--PulteGroup, Inc. (NYSE: PHM) announced today financial results for its fourth quarter ended December 31, 2024. For the quarter, the Company reported net income of $913 million, or $4.43 per share. Reported net income includes a pre-tax insurance benefit of $255 million, or $0.93 per share. In the prior year period, the Company reported net income of $711 million, or $3.28 per share, inclusive of a pre-tax insurance benefit of $65 million, or $0.23 per share. “PulteGrou.

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PulteGroup Announces $1.5 Billion Increase to Share Repurchase Authorization

ATLANTA--(BUSINESS WIRE)--PulteGroup, Inc. (NYSE: PHM) announced today that its Board of Directors has approved a $1.5 billion increase to the Company's share repurchase authorization. This increase brings the Company's remaining share repurchase authorization to $2.1 billion. “Following another year of record earnings and strong cash flows from operations, we are increasing our share repurchase authorization by $1.5 billion,” said Ryan Marshall, PulteGroup President and CEO. “This latest incre.

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A Quest That Has Translated Into New Investments

Focus on companies with proven business models, strong management, and potential for long-term market share growth in large industries. M&T Bank, Ashtead Group, Installed Building Products, Fiserv, Ferguson, Kinsale Capital Group, Align Technologies, and Medpace Holdings are highlighted investments. Emphasis on conservative financial practices, market dominance, and strategic capital deployment to drive future growth and shareholder value.

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Homebuilders Are Drastically Mispriced Given Growth Outlook

Homebuilder stocks are trading at low multiples despite consensus estimates predicting 22%-82% earnings growth by 2028, indicating potential undervaluation. The U.S. housing market faces an affordability crisis, but long-term undersupply and strong fundamentals make homebuilders attractive investments. Homebuilders have improved margins, low debt, and strong free cash flow, positioning them well for future growth and share buybacks.

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