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Primoris Services Corp PRIM

NYSE · stock · Water, Sewer, Pipeline, Comm & Power Line Construction · website · IPO 2006-10-04 · LEI

Primoris Services Corp financials (annual)

Revenue
$2.00B $2.38B $2.94B $3.11B $3.49B $3.50B $4.42B $5.72B $6.37B $7.57B 2016201720182019202020212022202320242025
Net income
$26.7M $72.4M $77.5M $82.3M $105.0M $115.7M $133.0M $126.1M $180.9M $274.9M 2016201720182019202020212022202320242025
Free cash flow
$4.5M $109.2M $16.6M $24.5M $248.6M -$54.1M -$11.3M $95.5M $381.8M $340.5M 2016201720182019202020212022202320242025

Bars are annual figures from 2016 to 2025; red bars are negative (a loss or cash outflow).

MetricFY2025FY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016
Revenue$7.6B$6.4B$5.7B$4.4B$3.5B$3.5B$3.1B$2.9B$2.4B$2.0B
Gross profit$813.1M$703.2M$587.5M$456.9M$416.7M$370.2M$330.9M$325.7M$278.4M$201.3M
SG&A expense$399.2M$383.3M$328.7M$281.6M$230.1M$202.8M$189.1M$182.0M$170.4M$140.0M
Operating income$411.5M$317.4M$253.1M$195.3M$170.2M$163.9M$140.9M$130.5M$106.3M$57.7M
Interest expense$20.3M$20.1M$18.7M$8.1M$8.9M
Income tax$109.1M$74.0M$51.5M$26.3M$36.1M$40.7M$33.8M$25.8M$28.4M$21.1M
Net income$274.9M$180.9M$126.1M$133.0M$115.7M$105.0M$82.3M$77.5M$72.4M$26.7M
EPS (diluted)$5.02$3.31$2.33$2.47$2.17$2.16$1.61$1.50$1.40$0.51
Operating cash flow$470.4M$508.3M$198.5M$83.3M$79.7M$313.0M$118.9M$126.8M$188.9M$62.6M
Free cash flow$340.5M$381.8M$95.5M-$11.3M-$54.1M$248.6M$24.5M$16.6M$109.2M$4.5M
Cash & equivalents$535.5M$455.8M$217.8M$248.7M$200.5M$326.7M$120.3M$151.1M$170.4M$135.8M
Inventory$40.9M$49.2M
Total assets$4.4B$4.2B$3.8B$3.5B$2.5B$2.0B$1.8B$1.6B$1.3B$1.2B
Total liabilities$2.7B$2.8B$2.6B$2.4B$1.6B$1.3B$1.2B$987.2M$693.6M$672.0M
Shareholders' equity$1.7B$1.4B$1.2B$1.1B$990.1M$714.8M$629.5M$607.0M$562.2M$498.6M

Growth · year-over-year · Revenue CAGR 16%

MetricFY2025FY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016
Revenue growth+19.0%+11.4%+29.3%+26.4%+0.2%+12.4%+5.7%+23.5%+19.2%
Net income growth+52.0%+43.5%-5.2%+14.9%+10.2%+27.5%+6.3%+7.1%+170.8%-27.5%
EPS growth+51.7%+42.1%-5.7%+13.8%+0.5%+34.2%+7.3%+7.1%+174.5%-28.2%
Free cash flow growth-10.8%+299.8%-121.8%+916.9%+47.1%-84.8%+2299.1%

Each column is the change versus the prior fiscal year. Growth off a negative or zero base is shown as “—”. CAGR is the compound annual revenue growth across the years shown.

Computed from company filings · US · as of 2025-12-31. Facts plus Stocktoria's own computed scores — not investment advice.