Jacobs Solutions Inc (J)

Industry Engineering & Construction

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

$123.60

Buy

$123.77

arrow-down$-2.64 (-2.09%)

Jacobs Engineering Group Inc is engaged in the engineering industry. The company provides technical, professional & construction services including engineering, design & architectural, construction management, operations & maintenance.
Prices updated at 02 Jun 2025, 19:07 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
6,330m10,580m12,738m13,567m14,093m9,783m10,851m11,501m
1,260m2,159m2,477m2,587m3,044m2,580m2,711m2,833m
244m387m405m536m688m540m676m692m
3.863.663.183.954.885.526.236.02
294m163m848m492m477m644m666m806m
378m606m604m685m1,019m879m996m1,255m
Sales, General and administrative1,016m1,771m2,072m2,051m2,356m2,040m2,034m2,140m
Interest expenses12m77m84m62m73m100m168m169m
Provision for income taxes73m326m37m55m275m66m101m131m
Operating expenses1,016m1,771m2,072m2,051m2,356m2,040m2,034m2,140m
Income before taxes243m331m351m441m696m477m521m777m
Net income available to common shareholders291m163m848m492m477m644m666m806m
1.952.037.23.792.285.045.624.87
Net interest income-3m-68m-74m-57m-69m-96m-143m-135m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)1.942.017.133.762.275.015.614.84
Free cash flow per share3.80222.7847-3.60915.18824.82552.68146.58167.4162
Book value/share31.283241.697742.967144.742745.992247.841952.1237.0139
Debt equity ratio0.0530670.3662520.2102030.4147630.6057690.6542350.5009880.386072

Balance sheet

20172018201920202021202220232024
Current assets2,996m4,557m4,112m4,540m4,292m4,722m4,690m4,896m
Current liabilities1,926m3,146m3,074m2,942m3,210m3,251m3,423m4,080m
Total capital4,663m8,001m6,916m7,493m8,780m9,417m9,360m5,898m
Total debt238m2,152m1,401m2,576m3,824m4,165m3,570m2,752m
Total equity4,428m5,854m5,715m5,816m5,940m6,060m6,546m4,549m
Total non current liabilities--------
Loans235m2,147m1,201m1,677m2,840m3,357m2,813m1,349m
Total assets7,381m12,646m11,463m12,354m14,633m14,660m14,617m11,759m
Total liabilities--------
Cash and cash equivalents774m793m631m862m1,014m1,140m927m1,145m
Common stock120m142m133m130m129m127m126m124m

Cash flow

20172018201920202021202220232024
Cash at beginning of period656m774m793m631m862m1,027m1,154m929m
Cash dividends paid-54m-87m-106m-144m-156m-116m-128m-143m
457m386m-502m689m633m347m837m934m
Investments (gains) losses-236m-1,578m2,152m-429m-1,381m-538m-146m-127m
774m793m631m862m1,027m1,154m929m1,147m
Net income--------
575m481m-366m807m726m475m975m1,055m
-118m-95m-136m-118m-93m-128m-137m-121m
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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