bf/NYSE:PHM_icon.jpeg

NYSE:PHM

PulteGroup, Inc.

  • Stock

USD

Last Close

113.85

03/05 20:00

Market Cap

22.66B

Beta: 1.34

Volume Today

1.78M

Avg: 2.90M

PE Ratio

8.27

PFCF: 8.07

Dividend Yield

0.65%

Payout:5.13%

Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
account payables
202.74M
-
270.52M
33.43%
327.73M
21.15%
405.45M
23.72%
393.81M
2.87%
352.03M
10.61%
435.92M
23.83%
511.32M
17.30%
621.17M
21.48%
565.98M
8.89%
accumulated other comprehensive income loss
-795K
-
-690K
13.21%
-609K
11.74%
-526K
13.63%
-445K
15.40%
-345K
22.47%
-245K
28.99%
-145K
40.82%
-45K
68.97%
cash and cash equivalents
1.58B
-
1.29B
18.19%
754.16M
41.67%
698.88M
7.33%
272.68M
60.98%
1.11B
307.10%
1.22B
9.71%
2.58B
112.02%
1.78B
31.10%
1.05B
40.81%
1.47M
99.86%
cash and short term investments
1.58B
-
1.29B
18.19%
754.16M
41.67%
698.88M
7.33%
272.68M
60.98%
1.11B
307.10%
1.22B
9.71%
2.58B
112.02%
1.78B
31.10%
1.05B
40.81%
1.47M
99.86%
common stock
3.81M
-
3.69M
3.09%
3.49M
5.52%
3.19M
8.59%
2.87M
10.12%
2.77M
3.38%
2.70M
2.49%
2.67M
1.37%
2.49M
6.45%
2.26M
9.43%
deferred revenue
134.86M
-
142.64M
5.77%
186.14M
30.50%
187.89M
0.94%
250.78M
33.47%
254.62M
1.53%
294.43M
15.63%
449.47M
52.66%
844.78M
87.95%
783.56M
7.25%
2.81M
99.64%
deferred revenue non current
134.86M
-
142.64M
5.77%
186.14M
30.50%
187.89M
0.94%
250.78M
33.47%
254.62M
1.53%
294.43M
15.63%
-11.97M
104.07%
-12.38M
3.44%
-12.38M
0.02%
deferrred tax liabilities non current
-283.84M
-
-231.05M
18.60%
-232.52M
0.64%
-223.00M
4.09%
-285.42M
27.99%
-304.91M
6.83%
-319.59M
4.81%
103.55M
132.40%
165.52M
59.85%
215.45M
30.16%
goodwill
40.40M
-
40.40M
0%
40.40M
0%
40.40M
0%
68.90M
70.54%
68.90M
0%
68.90M
0%
goodwill and intangible assets
136.15M
-
123.11M
9.57%
110.22M
10.48%
154.79M
40.45%
140.99M
8.92%
127.19M
9.79%
124.99M
1.73%
163.43M
30.75%
146.92M
10.10%
135.81M
7.57%
intangible assets
136.15M
-
123.11M
9.57%
110.22M
10.48%
114.39M
3.79%
100.59M
12.06%
86.79M
13.72%
84.59M
2.53%
94.53M
11.74%
78.02M
17.46%
66.91M
14.25%
inventory
3.98B
-
4.39B
10.39%
5.45B
24.09%
6.77B
24.23%
7.15B
5.56%
7.25B
1.49%
7.68B
5.89%
7.72B
0.54%
9.05B
17.17%
11.33B
25.18%
11.47M
99.90%
long term debt
2.16B
-
1.96B
9.48%
2.35B
20.11%
3.44B
46.29%
3.44B
0.09%
3.38B
1.98%
3.09B
8.44%
3.16B
2.35%
2.66B
16.09%
2.63B
0.86%
long term investments
45.32M
-
40.37M
10.93%
41.27M
2.23%
51.45M
24.67%
62.96M
22.37%
54.59M
13.29%
59.77M
9.48%
35.56M
40.50%
98.16M
176.01%
146.76M
49.52%
net debt
583.50M
-
665.94M
14.13%
1.60B
140.03%
2.74B
71.58%
3.17B
15.65%
2.27B
28.55%
1.87B
17.33%
581.92M
68.94%
876.08M
50.55%
1.58B
80.25%
490.93K
99.97%
net receivables
287.93M
-
339.53M
17.92%
442.71M
30.39%
539.50M
21.86%
570.60M
5.77%
461.35M
19.15%
508.97M
10.32%
564.98M
11.01%
947.14M
67.64%
677.21M
28.50%
other assets
1.51M
-
other current assets
3.52M
-
-22.12M
729.07%
-68.72M
210.68%
-181.22M
163.72%
-143.83M
20.63%
-50.80M
64.68%
57.55M
213.29%
77.99M
35.52%
83.75M
7.39%
785.98M
838.45%
other current liabilities
1.46B
-
1.33B
8.54%
1.29B
2.95%
1.45B
11.88%
1.41B
2.77%
1.32B
6.16%
1.41B
6.70%
1.40B
1.08%
1.58B
13.00%
1.68B
6.77%
other liabilities
other non current assets
460.62M
-
513.03M
11.38%
584.79M
13.99%
779.98M
33.38%
674.42M
13.53%
737.42M
9.34%
713.94M
3.18%
720.25M
0.88%
887.50M
23.22%
1.02B
14.68%
other non current liabilities
148.98M
-
88.41M
40.66%
46.38M
47.54%
35.11M
24.29%
34.64M
1.35%
50.28M
45.15%
25.16M
49.96%
11.97M
52.43%
12.38M
3.44%
12.38M
0.02%
305.65K
97.53%
othertotal stockholders equity
3.05B
-
3.07B
0.69%
3.09B
0.68%
3.12B
0.73%
3.17B
1.77%
3.20B
0.94%
3.24B
1.05%
3.26B
0.81%
3.29B
0.90%
3.33B
1.20%
9.37M
99.72%
preferred stock
property plant equipment net
24.02M
-
30.19M
25.65%
86.31M
185.93%
77.44M
10.27%
70.71M
8.70%
92.94M
31.44%
181.74M
95.56%
203.02M
11.71%
223.47M
10.07%
273.75M
22.50%
retained earnings
1.59B
-
1.73B
8.47%
1.66B
3.84%
1.54B
7.36%
980.06M
36.37%
1.61B
64.68%
2.22B
37.59%
3.31B
48.88%
4.20B
26.93%
5.58B
33.02%
short term debt
124.96M
-
58.22M
53.41%
46.38M
20.34%
35.11M
24.29%
34.64M
1.35%
50.28M
45.15%
25.16M
49.96%
11.97M
52.43%
2.05M
-
1.96M
4.07%
short term investments
287.93M
-
339.53M
17.92%
442.71M
30.39%
539.50M
21.86%
570.60M
5.77%
461.35M
19.15%
508.97M
10.32%
564.98M
11.01%
947.14M
67.64%
tax assets
2.09B
-
1.72B
17.54%
1.39B
18.93%
1.05B
24.77%
645.29M
38.51%
275.58M
57.29%
170.11M
38.27%
136.27M
19.89%
139.04M
2.03%
82.35M
40.77%
tax payables
206.01M
-
48.72M
76.35%
57.05M
17.09%
34.86M
38.90%
86.92M
149.35%
11.58M
86.68%
36.09M
211.68%
98.71M
-
total assets
8.73B
-
8.57B
1.89%
8.97B
4.64%
10.18B
13.51%
9.69B
4.83%
10.17B
5.02%
10.72B
5.33%
12.21B
13.90%
13.35B
9.40%
14.80B
10.81%
14.45M
99.90%
total current assets
5.98B
-
6.14B
2.69%
6.75B
9.89%
8.07B
19.49%
8.09B
0.34%
8.89B
9.80%
9.47B
6.53%
10.95B
15.66%
11.86B
8.32%
13.14B
10.82%
12.95M
99.90%
total current liabilities
1.92B
-
1.81B
6.02%
1.86B
2.74%
2.08B
11.97%
2.09B
0.51%
1.98B
5.23%
2.17B
9.46%
2.37B
9.33%
3.04B
28.49%
3.03B
0.25%
4.77M
99.84%
total debt
2.16B
-
1.96B
9.48%
2.35B
20.11%
3.44B
46.29%
3.44B
0.09%
3.38B
1.98%
3.09B
8.44%
3.16B
2.35%
2.66B
16.09%
2.63B
0.86%
1.96M
99.93%
total investments
333.26M
-
379.90M
14.00%
483.98M
27.40%
590.94M
22.10%
633.56M
7.21%
515.94M
18.56%
568.73M
10.23%
600.54M
5.59%
1.05B
74.06%
146.76M
85.96%
total liabilities
4.09B
-
3.76B
7.85%
4.21B
11.78%
5.52B
31.16%
5.53B
0.25%
5.36B
3.21%
5.26B
1.83%
5.64B
7.19%
5.86B
4.04%
5.88B
0.33%
5.08M
99.91%
total liabilities and stockholders equity
8.73B
-
8.57B
1.89%
8.97B
4.64%
10.18B
13.51%
9.69B
4.83%
10.17B
5.02%
10.72B
5.33%
12.21B
13.90%
13.35B
9.40%
14.80B
10.81%
14.45M
99.90%
total non current assets
2.75B
-
2.43B
11.82%
2.22B
8.65%
2.11B
4.71%
1.59B
24.55%
1.29B
19.23%
1.25B
2.89%
1.26B
0.64%
1.50B
18.80%
1.66B
10.80%
total non current liabilities
2.16B
-
1.96B
9.48%
2.35B
20.11%
3.44B
46.29%
3.44B
0.09%
3.38B
1.98%
3.09B
8.44%
3.27B
5.69%
2.82B
13.68%
2.85B
0.96%
305.65K
99.99%
total stockholders equity
4.65B
-
4.80B
3.36%
4.76B
0.95%
4.66B
2.10%
4.15B
10.85%
4.82B
15.98%
5.46B
13.29%
6.57B
20.37%
7.49B
14.00%
8.91B
19.02%
9.37M
99.89%

All numbers in USD (except ratios and percentages)