James Hardie Industries PLC

  • IPO date:
  • Sector: Basic Materials
  • GIC Group: Materials
  • Industry: Building Materials
  • Company website

Company description

James Hardie Industries plc manufactures and sells fiber cement, fiber gypsum, and cement bonded building products for interior and exterior building construction applications primarily in the United States, Australia, Europe, New Zealand, and the Philippines. The company operates through North America Fiber Cement, Asia Pacific Fiber Cement, and Europe Building Products segments. It offers fiber cement interior linings, exterior siding products, and related accessories; and various fiber cement products for a range of applications, including external cladding, internal walls, ceilings, floors, soffits, fences, and facades. The company also provides fiber gypsum and cement-bonded boards for use in the timber frame construction, dry lining, DIY, and structural fire protection applications. Its products are used in residential repair and remodel, and commercial and residential new construction markets James Hardie Industries plc was founded in 1888 and is based in Dublin, Ireland.

Financial highlights

Market Capitalization$17826.11 million
P/E Ratio23.95
P/E Growth Ratio1.1874
Book Value3.907
Dividend Per Share0
Earnings Per Share1.73
EBITDA981,100.032
Profit Margin0.1358
Operating Margin TTM0.2156
Return on Assets TTM0.1155
Return on Equity TTM0.3325
Revenue TTM3,730,500.096

Income statement highlights

All numbers are in thousands

Date Total Revenue Cost of Revenue Gross Profit Total Operating Expenses
2000-03-31 1,602,900
2001-03-31 526,300 485,800
2002-03-31 606,900 401,600 205,300 130,300
2003-03-31 803,700 501,900 301,800 171,200
2004-03-31 981,900 623,000 358,900 186,700
2005-03-31 1,210,400 784,000 426,400 230,200
2006-03-31 1,488,500 937,700 550,800 115,900
2007-03-31 1,542,900 969,900 573,000 659,600
2008-03-31 1,468,800 938,800 530,000 566,600
2009-03-31 1,202,600 813,800 388,800 215,200
2010-03-31 1,124,600 708,500 416,100 437,100
2011-03-31 1,167,000 775,100 391,900 287,200
2012-03-31 1,237,500 830,500 407,000 221,400
2013-03-31 1,321,300 902,000 419,300 255,800
2014-03-31 1,493,800 987,400 506,400 257,500
2015-03-31 1,656,900 1,078,100 578,800 277,200
2016-03-31 1,728,200 1,096,000 632,200 283,700
2017-03-31 1,921,600 1,246,900 674,700 321,900
2018-03-31 2,054,500 1,324,300 730,200 344,600
2019-03-31 2,506,600 1,675,600 831,000 441,500
2020-03-31 2,606,800 1,673,100 933,700 448,600
2021-03-31 2,908,700 1,857,000 1,051,700 423,900
2022-03-31 3,614,700 2,301,200 1,313,500 499,200
2023-03-31 3,777,100 2,465,100 1,312,000 533,600

Balance sheet highlights

All numbers are in thousands

Date Cash Total Assets Total Liabilities Short Term Debt Long Term Debt Common Stock
2000-03-31 800 1,697,500 1,023,100 570,500 552,500
2001-03-31 4,900 969,000 687,900 729,200 583,600
2002-03-31 31,100 913,500 543,100 325,000 205,400
2003-03-31 55,100 827,600 392,900 8,800 165,000 269,700
2004-03-31 72,300 971,200 466,500 28,400 147,400 245,200
2005-03-31 28,600 1,088,900 464,200 37,600 121,700 245,800
2006-03-31 24,900 1,445,400 1,350,500 302,700 253,200
2007-03-31 34,100 2,128,100 1,869,400 83,000 105,000 251,800
2008-03-31 35,400 2,179,900 2,382,500 90,000 174,500 219,700
2009-03-31 42,400 1,898,700 2,007,400 93,300 230,700 219,200
2010-03-31 19,200 2,178,800 2,296,700 95,000 59,000 221,100
2011-03-31 18,600 1,960,600 2,415,100 5,800 59,000 222,500
2012-03-31 265,400 2,310,000 2,183,600 30,900 224,000
2013-03-31 153,700 2,107,600 2,089,400 7,100 227,300
2014-03-31 167,500 2,106,500 2,305,500 47,000 230,600
2015-03-31 67,000 2,044,500 2,247,100 13,600 397,500 231,200
2016-03-31 107,100 2,040,400 2,265,600 50,700 505,500 231,400
2017-03-31 78,900 2,012,700 2,224,900 52,400 564,500 229,100
2018-03-31 281,600 2,351,000 2,572,500 38,400 884,400 229,500
2019-03-31 78,700 4,032,600 3,058,200 17,700 1,380,300 230,000
2020-03-31 144,400 4,034,100 2,993,000 14,800 1,354,600 230,600
2021-03-31 208,500 4,089,000 3,028,200 8,800 858,600 231,400
2022-03-31 125,000 4,243,200 2,910,300 13,600 877,300 232,100
2023-03-31 113,000 4,479,100 2,867,700 18,900 1,059,000 230,000

Cash flow highlights

All numbers are in thousands

Date Net Income Total Cash Change in Cash Begin period cash End period cash Dividends
2000-03-31 227,200 64,900
2001-03-31 38,600 94,600 75,100 77,000
2002-03-31 29,300 76,600 -44,000 75,100 31,100 20,300
2003-03-31 170,500 64,800 24,000 31,100 55,100 34,300
2004-03-31 129,600 162,600 17,200 55,100 72,300 22,900
2005-03-31 126,900 219,800 41,200 72,300 113,500 13,700
2006-03-31 -506,700 240,600 201,600 113,500 315,100 45,900
2007-03-31 151,700 -67,100 -281,000 315,100 34,100 42,100
2008-03-31 -71,600 319,300 1,300 34,100 35,400 126,200
2009-03-31 136,300 -45,200 7,000 35,400 42,400 34,600
2010-03-31 -84,900 183,100 -23,200 42,400 19,200
2011-03-31 -347,000 147,200 -600 19,200 18,600
2012-03-31 604,300 387,200 246,800 18,600 265,400 17,400
2013-03-31 45,500 109,300 -111,700 265,400 153,700 188,500
2014-03-31 99,500 322,800 13,800 153,700 167,500 199,100
2015-03-31 291,300 179,500 -100,500 167,500 67,000 390,100
2016-03-31 244,400 260,400 40,100 67,000 107,100 246,500
2017-03-31 276,500 292,100 -28,200 107,100 78,900 176,800
2018-03-31 146,100 295,000 202,700 78,900 281,600 177,500
2019-03-31 228,800 287,600 -189,600 313,200 123,600 172,100
2020-03-31 241,500 451,200 62,200 123,600 185,800 158,600
2021-03-31 262,800 786,900 132,600 185,800 318,400 484,000
2022-03-31 459,100 757,200 -46,500 318,400 271,900 484,000
2023-03-31 512,000 607,600 -86,300 271,900 185,600 129,600