CRH

Crh (CRH)

Company name:Crh Plc
Company Description:Products and services include cement, aggregates, asphalt and surfacing, readymixed concrete, agricultural & chemical grade lime, seawater magnesia, precaust concrete products, clay bricks, insulation products, civil engineering, rooftiles, masonry, timber, civils, drainage, DIY stores, rooflight & ventilation, security gates & fencing.
EPIC:CRHTrading Currency:GBX
Market Sector:FE10ISIN:IE0001827041
Market Segment:SET1Share Type:DE
WWW Address:https://www.crh.com/investorsDescription:ORD EUR 0.32 (CDI)
Industry Sector:CONSTRUCTION & MATERIALS
 Price Price Change [%] Bid Ask Open High Low Volume
 3,714.00 images.advfn.com/imagesnew/2/us/up 26.0 [0.70] 3,716.00 3,718.00 3,686.00 3,742.00 3,684.00 684,656
 Market Cap. [m] Shares In Issue [m] Beta EPS DPS PE Ratio Yield 52-Wks-Range
 29,144.15 784.71 0.25 122.76 102.46 30.25 2.76 3,768.00 - 2,578.00

Crh Key Figures

Key Figures
(at previous day's close)
Market Cap.29,144.15m
Shares In Issue784.71m
Prev. Close3,688.00
PE Ratio30.25 
Dividend Yield2.76%
EPS - basic122.76p
Dividend PS102.46p
Dividend Cover- 
Cash Flow PS447.11p
Return On Equity (ROE)5.71%
Operating Margin6.03%
PEG Factor-0.74 
EPS Growth Rate-40.63%
Dividends PS Growth Rate38.55%
Net Debt15,034.75m
Gross Gearing54.73%
Quick Assets10,955.99m
Net Working Capital7,082.15m
Intangibles / Fixed Assets31.74%
Turnover PS3,132.18p
Pre-Tax Profit PS188.93p
Retained Profit PS47.12p
Cash PS876.63p
Net Cash PS29.07p
Net Tangible Asset Value PS *1,167.52p
Net Asset Value PS2,310.28p
Spread2.00 (0.05%) 

Crh Balance Sheet

%1$s Balance Sheet
L^CRH:Liabilities+EQL^CRH:Assets

Share Price Performance

Share Price Performance
Sample Period HighLow
1 week3,768.003,672.00
4 weeks3,768.003,504.00
12 weeks3,768.003,186.00
1 year3,768.002,578.00

Share Price Chart (5 years)

Share Price Chart (5 years)

Crh Historic Returns

%1$s Historic Returns
Giorni da oggi OpenChange%Open Avg.Avg. Daily Vol [m]Total Vol [m]VWAP
1 week3,729.00-15.00-0.403,672.000.783,705.16
4 weeks3,584.00130.003.633,504.000.863,654.15
12 weeks3,298.00416.0012.613,186.000.963,501.52
26 weeks2,982.00732.0024.552,946.001.063,342.62
1 year2,726.00988.0036.242,578.001.103,109.60
3 years2,845.00869.0030.541,500.001.572,643.16
5 years2,042.001,672.0081.881,500.001.782,645.57

Crh Key Management Ratios

DEEPER ANALYSIS

Crh Investment Ratios

%1$s Investment Ratios
(Market value analysis) at previous day's close
PQ Ratio7.89 
PE Ratio30.25 
Tobin's Q Ratio 0.71 
Tobin's Q Ratio (excl. intangibles)0.90 
Dividend Yield2.76%
Market-to-Book Ratio1.66 
Price-to-Pre-Tax Profit PS19.66 
Price-to-Retained Profit PS78.82 
Price-to-Cash Flow PS8.31 
Price-to-Sales PS1.19 
Price-to-Net Tangible Asset Value PS2.98 
Price-to-Cash PS4.24 
Net Working Capital PS902.52 
Price Pct to Working Capital PS4.12%
Earnings Yield3.31%
Average PE14.28 
Years in average5 
PE to PE average211.90%

Crh Financial Ratios

%1$s Financial Ratios
(Leverage Ratios)
Debt Ratio45.71%
Debt-to-Equity Ratio0.84 
Debt-to-Equity Ratio (excl. Intgbl)1.56 
Debt-to-Equity Market Value0.52 
Net Gearing37.55%
Net Gearing (excl. Intangibles)47.44%
Gross Gearing54.73%
Gross Gearing (excl. Intangibles)69.15%
Gearing Under 1 Year16.61%
Gearing Under 1 Year (excl. Intgbl)20.99%
Assets/Equity2.21 
Cash/Equity37.94 
(Liquidity Ratios)
Net Working Capital to Total Assets17.69%
Current Ratio2.06 
Quick Ratio (Acid Test)1.65 
Liquidity Ratio1.03 
Cash & Equiv/Current Assets50.09%
(Solvency Ratios)
Enterprise Value38,144.51m
CFO/Sales0.14 
CFO/Attributable Profit3.51 
CFO/Assets0.09 
CFO/Debt0.16 
Total Debt/Equity Market Value0.75 
Total Debt/Sales0.89 
Total Debt/Pre-Tax Profit14.78 
Total Debt21,913.76m
Total Debt/Net Current Assets3.09%
(Dodds - Graham Ratios)
3 yr Compound Earnings Growth-%
5 yr Compound Earnings Growth-%
10 yr Compound Earnings Growth5.63%
Earn drops > 5% in 10yrs8 
Beta coefficients
Beta (60-Mnth)Beta (36-Mnth)
0.24750.2157

Crh Operating Ratios

%1$s Operating Ratios
(Profitability Ratios)
Return On Capital Employed (ROCE)4.44%
Return On Assets (ROA)2.43%
Net Profit Margin4.07%
Assets Turnover0.60 
Return On Equity (ROE)5.71%
Return On Investment (ROI)2.92%
Dividend Payout Ratio80.48%
Plowback Ratio19.52%
Growth from Plowback Ratio1.07%
Net Income Of Revenues1.50%
(Asset Utilisation Multiples)
Shareholders Equity Turnover1.34 
Fixed Assets Turnover0.88 
Current Assets Turnover1.88 
Net Working Capital Turnover 
Inventory Turnover8.39 
(Other Operating Ratios)
Total Assets-to-Sales1.67 
Debtors-to-Sales17.79%
Debt Collection Period64.95Days

Crh Dividends

%1$s Dividends
Announcement DateTypeCurr.Dividend AmountPeriod StartPeriod EndEx DateRecord DatePayment DateTotal Dividend Amount
04 Mar 2021FinalEUX93.0012/31/201912/31/202003/18/202103/19/202105/05/2021115.00
20 Aug 2020InterimEUX22.0012/31/201912/31/202009/03/202009/04/202009/25/2020-
28 Feb 2020FinalEUX63.0012/31/201812/31/201903/12/202003/13/202004/28/202083.00
22 Aug 2019InterimEUX20.0012/31/201812/31/201909/05/201909/06/201909/25/2019-
28 Feb 2019FinalEUX52.4012/31/201712/31/201803/14/201903/15/201904/30/201972.00
23 Aug 2018InterimEUX19.6012/31/201712/31/201809/06/201809/07/201809/26/2018-
01 Mar 2018FinalEUX48.8012/31/201612/31/201703/08/201803/09/201805/04/201868.00
24 Aug 2017InterimEUX19.2012/31/201612/31/201709/07/201709/08/201711/03/2017-
01 Mar 2017FinalEUX46.2012/31/201512/31/201603/09/201703/10/201705/05/201765.00
25 Aug 2016InterimEUX18.8012/31/201512/31/201609/08/201609/09/201611/04/2016-
03 Mar 2016FinalEUX44.0012/31/201412/31/201503/10/201603/11/201605/06/201662.50
27 Aug 2015InterimEUX18.5012/31/201412/31/201509/10/201509/11/201511/06/2015-
26 Feb 2015FinalEUX44.0012/31/201312/31/201403/05/201503/06/201505/12/201562.50
19 Aug 2014InterimEUX18.5012/31/201312/31/201408/27/201408/29/201410/24/2014-
25 Feb 2014FinalEUX44.0012/31/201212/31/201303/05/201403/07/201405/12/201462.50
20 Aug 2013InterimEUX18.5012/31/201212/31/201308/28/201308/30/201310/25/2013-
26 Feb 2013FinalEUX44.0012/31/201112/31/201203/06/201303/08/201305/13/201362.50
14 Aug 2012InterimEUX18.5012/31/201112/31/201208/22/201208/24/201210/19/2012-
28 Feb 2012FinalEUX44.0012/31/201012/31/201103/07/201203/09/201205/14/201262.50
16 Aug 2011InterimEUX18.5012/31/201012/31/201108/24/201108/26/201110/21/2011-
01 Mar 2011FinalEUX44.0012/31/200912/31/201003/09/201103/11/201105/09/201162.50
24 Aug 2010InterimEUX18.5012/31/200912/31/201009/01/201009/03/201010/29/2010-
02 Mar 2010FinalEUX44.0012/31/200812/31/200903/10/201003/12/201005/10/201062.50
25 Aug 2009InterimEUX18.5012/30/200806/30/200909/02/200909/04/200910/30/2009-
03 Mar 2009FinalEUX48.5012/31/200712/31/200803/11/200903/13/200905/11/200969.00
26 Aug 2008InterimEUX20.0512/30/200706/30/200809/03/200809/05/200810/31/2008-
04 Mar 2008FinalEUX48.0012/31/200612/31/200703/12/200803/14/200805/12/200868.00
02 Mar 2007FinalEUX38.5012/31/200512/31/200603/14/200703/16/200705/14/200752.00
31 Aug 2006InterimEUX13.5012/30/200506/30/200609/06/200609/08/200611/03/2006-
07 Mar 2006FinalEUX27.7512/31/200412/31/200503/15/200603/17/200605/08/200639.00
30 Aug 2005InterimEUX11.2506/30/200406/30/200509/07/200509/09/200511/04/2005-
01 Mar 2005FinalEUX23.4012/31/200312/31/200403/09/200503/11/200505/09/200533.00
31 Aug 2004InterimEUX9.6012/30/200306/30/200409/08/200409/10/200411/05/2004-
02 Mar 2004FinalEUX19.9012/31/200212/31/200303/10/200403/12/200405/10/200428.10
02 Sep 2003InterimEUX8.2012/30/200206/30/200309/10/200309/12/200311/07/2003-
04 Mar 2003FinalEUX17.9712/31/200112/31/200203/12/200303/14/200305/12/200325.40
03 Sep 2002InterimEUX7.4312/30/200106/30/200209/11/200209/13/200211/08/2002-
05 Mar 2002FinalEUX16.2512/31/200012/31/200103/13/200203/15/200205/13/200223.00
04 Sep 2001InterimEUX6.7512/30/200006/30/200109/12/200109/14/200111/09/2001-
06 Mar 2001FinalEUX16.1012/31/199912/31/200003/14/200103/16/200105/14/200122.80
05 Sep 2000InterimEUX6.7012/30/199906/30/200009/11/200009/15/200011/10/2000-
29 Feb 2000FinalEUX14.1012/31/199812/31/199903/06/200003/10/200005/08/200020.00
31 Aug 1999InterimEUX5.9012/30/199806/30/199909/06/199909/10/199911/05/1999-
26 Jan 1999FinalEUX9.5012/31/199712/31/199802/01/199902/05/199903/30/199913.50
01 Sep 1998InterimEUX4.0012/30/199706/30/199809/07/199809/11/199811/06/1998-

Crh Fundamentals

Profit and Loss Account
 31 Dec 2017 (EUR)31 Dec 2018 (EUR)31 Dec 2019 (EUR)31 Dec 2020 (EUR)
turnover25,220.00100.00%26,790.00100.00%25,129.00100.00%27,587.00100.00%m
pre tax profit1,867.007.40%1,862.006.95%2,115.008.42%1,664.006.03%m
attributable profit1,788.007.09%2,517.009.40%1,620.006.45%1,122.004.07%m
retained profit1,319.005.23%1,996.007.45%1,036.004.12%415.001.50%m
eps - basic226.80 302.40 240.70 142.90 
eps - diluted225.40 300.90 238.80 141.80 
dividends per share68.00 72.00 83.00 115.00 

Crh Balance Sheet

Balance Sheet
 31 Dec 2017 (EUR)31 Dec 2018 (EUR)31 Dec 2019 (EUR)31 Dec 2020 (EUR)
L^CRH:Liabilities+EQL^CRH:AssetsL^CRH:Liabilities+EQL^CRH:AssetsL^CRH:Liabilities+EQL^CRH:AssetsL^CRH:Liabilities+EQL^CRH:Assets
 31 Dec 2017 (EUR)31 Dec 2018 (EUR)31 Dec 2019 (EUR)31 Dec 2020 (EUR)
ASSETS
fixed assets fixed assets13,094.0041.39%15,761.0044.81%17,424.0046.70%19,317.0042.98%m
intangibles intangibles7,214.0022.81%8,433.0023.98%8,434.0022.61%9,373.0020.85%m
fixed investments fixed investments1,337.004.23%1,231.003.50%784.002.10%840.001.87%m
current assets - other current assets - other--%--%--%--%m
stocks stocks2,715.008.58%3,061.008.70%2,742.007.35%3,117.006.94%m
debtors debtors5,158.0016.31%4,341.0012.34%4,171.0011.18%4,576.0010.18%m
cash & securities cash & securities2,115.006.69%2,346.006.67%3,755.0010.06%7,721.0017.18%m
TOTAL31,633.00100%35,173.00100%37,310.00100%44,944.00100%m
LIABILITIES
creditors - short creditors - short6,031.0019.07%6,079.0017.28%6,380.0017.10%7,465.0016.61%m
creditors - long creditors - long10,625.0033.59%12,540.0035.65%13,450.0036.05%17,131.0038.12%m
creditors - other creditors - other--%--%--%--%m
subordinated loans subordinated loans--%--%--%--%m
insurance funds insurance funds--%--%--%--%m
TOTAL16,656.0052.65%18,619.0052.94%19,830.0053.15%24,596.0054.73%m
EQUITY
ord cap, reserves ord cap, reserves14,491.0045.81%16,029.0045.57%16,940.0045.40%19,656.0043.73%m
prefs, minorities prefs, minorities486.001.54%525.001.49%540.001.45%692.001.54%m
TOTAL14,977.0047.35%16,554.0047.06%17,480.0046.85%20,348.0045.27%m
OTHER
NAV Basic- - - - 
NAV Diluted- - - - 

Crh Cash Flow Statement

%1$s Cash Flow Statement
31 Dec 2017 (EUR)31 Dec 2018 (EUR)31 Dec 2019 (EUR)31 Dec 2020 (EUR)
Operating CF2,189.001,899.003,466.003,938.00m
Pre-Financing CF-496.00307.003,661.002,878.00m
Retained CF-153.00194.001,382.003,165.00m

Crh Brokers

%1$s Brokers
NameActivityTypeMnemonicCode
THE ROYAL BANK OF SCOT N.V.Market Maker(MME)Broker/DealerRBSMABNAGB22
CREDIT SUISSE SEC (EUROPE) LTDMarket Maker(MME)Broker/DealerCSFBCSFBGB2L
J & E DavyMarket Maker(MME)Broker/DealerDAVYDAVEIE21
Deutsche Bank AG London BranchMarket Maker(MME)Broker/DealerDEUTDEUTGB2L
Goodbody StockbrokersMarket Maker(MME)Broker/DealerGOODGDBSIE2D002
Goldman Sachs InternationalMarket Maker(MME)Broker/DealerGSCOGSILGB2X
HSBC Bank plcMarket Maker(MME)Broker/DealerHSBCJCAPGB2L
J.P. Morgan Securities LtdMarket Maker(MME)Broker/DealerJPMSJPMSGB2L
Morgan Stanley Securities LtdMarket Maker(MME)Broker/DealerMOSTMSSEGB21
Citigrp Global Mkt UK EquitiesMarket Maker(MME)Broker/DealerCITISBUKGB21
Merrill Lynch InternationalMarket Maker(MME)Broker/DealerMLSBSNCSGB2LBIC
UBS AGMarket Maker(MME)Broker/DealerUBS.UBSWGB2LEQU
Winterflood Securities LtdMarket Maker(MME)Broker/DealerWINSWNTSGB2LBIC
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P: V:ca D:20210614 05:13:56