Commercial Metals Co (CMC)

Industry Steel

This stock can be held in an Investment ISA and an Investment Account
Sell

$40.50

Buy

$47.94

arrow-up$0.01 (+0.02%)

Commercial Metals Co manufactures, recycles and markets steel and metal products and related materials and services. Its products and services include metal recycling, mill products, fabrication,construction products etc.
Prices updated at 16 May 2025, 23:26 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
3,844m4,644m5,829m5,476m6,730m8,913m8,800m7,926m
521m622m803m945m1,106m1,856m1,812m1,359m
134m221m340m438m601m1,311m1,168m694m
3.494.755.847.998.9314.7113.288.75
46m139m198m280m413m1,217m860m485m
235m338m499m598m754m1,741m1,381m964m
Sales, General and administrative387m401m463m507m505m545m644m665m
Interest expenses44m41m71m62m52m51m40m48m
Provision for income taxes15m30m70m92m121m298m262m150m
Operating expenses387m401m463m507m505m545m644m665m
Income before taxes65m165m268m371m534m1,515m1,122m636m
Net income available to common shareholders46m139m198m280m413m1,217m860m485m
0.671.042.212.194.8110.46.621.14
Net interest income-44m-41m-71m-62m-52m-51m-40m-48m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)0.651.032.192.154.7510.256.541.11
Free cash flow per share-0.3293-0.1352-0.85485.01690.36322.04566.21754.9119
Book value/share12.010212.695313.686215.734418.89128.017335.309237.8363
Debt equity ratio0.5751030.7624360.7557380.5640140.442470.3387650.27040.26765

Balance sheet

20172018201920202021202220232024
Current assets1,714m2,077m2,080m2,214m2,737m3,441m3,144m3,293m
Current liabilities608m542m695m745m980m1,357m844m835m
Total capital2,206m2,632m2,851m2,955m3,310m4,399m5,235m5,451m
Total debt825m1,158m1,245m1,084m1,070m1,502m1,155m1,190m
Total equity1,401m1,493m1,624m1,889m2,295m3,286m4,121m4,300m
Total non current liabilities--------
Loans806m1,139m1,227m1,066m1,015m1,113m1,114m1,151m
Total assets2,975m3,328m3,759m4,082m4,639m6,237m6,639m6,818m
Total liabilities--------
Cash and cash equivalents253m622m192m542m498m673m592m858m
Common stock116m117m118m119m121m117m117m114m

Cash flow

20172018201920202021202220232024
Cash at beginning of period518m286m633m194m545m501m679m596m
Cash dividends paid-56m-56m-57m-57m-58m-68m-75m-79m
-39m-16m-102m604m44m250m737m575m
Investments (gains) losses-114m-71m-462m-193m-162m-685m-835m-323m
253m633m194m545m501m679m596m860m
Net income--------
174m159m37m791m228m700m1,344m900m
-213m-175m-139m-188m-184m-450m-607m-324m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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