CRH plc (CRH) Q3 2025 10-Q Quarterly Report

Filed: Nov 5, 2025Period ending Sep 30, 2025
Materials
Cement, HydraulicSEC EDGAR

CRH plc (CRH) 10-Q quarterly report for Q3 2025, filed with SEC EDGAR on Nov 5, 2025 for the fiscal period ending Sep 30, 2025. This page provides AI-powered analysis including management discussion & analysis (MD&A), risk factor updates, and key quarterly financial data such as revenue and net income extracted from XBRL.

CRH plc Q3 2025 10-Q Analysis

Management Discussion & Analysis

  • Q3 revenue $11.1B, up 5% YoY from $10.5B; nine months revenue $28.0B, up 5% from $26.7B
  • Q3 net income $1.5B, up $130M YoY; net income margin 13.7% vs 13.2% YoY; nine months net income $2.8B, down $59M; net income margin 9.8% vs 10.5% YoY
  • Best performing segment Q3: International Solutions revenue +5%, Adj. EBITDA +15%, margin 19.5% vs 17.8%; worst: Americas Materials Solutions Adj. EBITDA margin down 28.0% to 27.6%
  • Nine months net debt $15.0B vs $11.2B a year ago; operating cash flow $2.7B, up $0.5B YoY; acquisitions $3.2B vs $3.9B prior year, share buybacks $0.9B, dividends paid $0.7B
  • Management expects positive 2025 remainder and 2026 growth driven by infrastructure investment; notes subdued residential new-build with resilient repair/remodel demand

Risk Factors

  • Continued exposure to global economic slowdown impacting construction demand and pricing power
  • Currency fluctuations risk with significant operations in euro, pound sterling, and US dollar markets
  • Ongoing regulatory compliance risk particularly related to environmental laws and sustainability reporting
  • Competition from regional and global construction materials producers affecting market share and margins
  • Debt maturity profile requires managing refinancing risks amid rising interest rates and credit market volatility

CRH plc Q3 2025 Quarterly Financials
XBRL

Revenue

$11.1B

+5.3% YoY +8.5% QoQ

Net Income

$1.5B

+9.2% YoY +13.9% QoQ

Gross Margin

38.9%

+33bp YoY -52bp QoQ

Operating Margin

18.8%

+12bp YoY -16bp QoQ

Net Margin

13.6%

+49bp YoY +65bp QoQ

ROE

6.4%

Total Assets

$58.5B

EPS (Diluted)

$2.21

+12.2% YoY +14.5% QoQ

Operating Cash Flow

$2.0B

+34.0% YoY +44.5% QoQ

Source: XBRL data from CRH plc Q3 2025 10-Q filing on SEC EDGAR. All figures in USD.

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