Sector: Industrials | Industry: Construction & Engineering |
See Regulatory Filings on SEC |
Company Contact | |
Address: | 500 E. 84th Avenue, Suite A-5 THORNTON CO 80229 |
Tel: | 1-949-5743860 |
Website: | https://www.concretepumpingholdings.com |
IR: | See website |
Key People | ||
Bruce Young Chief Executive Officer, Director | Iain Humphries Chief Financial Officer, Secretary, Director |
Business Overview |
Concrete Pumping Holdings, Inc. is a provider of concrete pumping services and concrete waste management services. The Company's segments include U.S. Concrete Pumping, U.K. Operations, U.S. Concrete Waste Management Services, and Corporate. The U.S. Concrete Pumping core business is the provision of concrete pumping services to general contractors and concrete finishing companies in the commercial, infrastructure and residential sectors. This segment has 100 branch locations across 20 states with their corporate headquarters in Denver, Colorado. The U.S. Concrete Waste Management Services segment consists of its U.S. based Eco-Pan business. Eco-Pan provides industrial cleanup and containment services, primarily to customers in the construction industry. Eco-Pan uses containment pans specifically designed to hold waste products from concrete and other industrial cleanup operations. The U.K. Operations segment consists of its Camfaud, Premier and United Kingdom-based Eco-Pan businesses. |
Financial Overview |
For the three months ended 31 January 2024, Concrete Pumping Holdings Inc revenues increased 4% to $97.7M. Net loss applicable to common stockholders totaled $4.3M vs. income of $5.8M. Revenues reflect U.K. Operations segment increase of 21% to $15.4M, U.S. Concrete Waste Management Services segment increase of 14% to $15.6M, U.K. segment increase of 21% to $15.4M, U.S. segment increase of 2% to $82.3M. |
Employees: | 1,720 as of Oct 31, 2023 |
Reporting Currency: | U.S. Dollars |
Enterprise value: | $749.54M as of Jan 31, 2024 |
Annual revenue (TTM): | $446.38M as of Jan 31, 2024 |
EBITDA (TTM): | $111.87M as of Jan 31, 2024 |
Net annual income (TTM): | $18.96M as of Jan 31, 2024 |
Free cash flow (TTM): | $43.31M as of Jan 31, 2024 |
Net Debt Last Fiscal Year: | $370.60M as of Jan 31, 2024 |
Shares outstanding: | 53,872,380 as of Mar 4, 2024 |
TTM: Trailing Twelve Months EBITDA: Earnings Before Interest, Taxes, Depreciation, & Amortization |