Service is in preparation Official β release coming soon. Some features are still being adjusted.

Investical Earnings & investing calendar Earnings & investing calendar
/
PPulteGroup Inc. logo
PHMNYSE

PulteGroup Inc.

PulteGroup Inc.
Loading price data…
Loading price data…
Chart type
Interval
Moving averages
Up/down colors

Share screenshot

Recent & upcoming events

Sep 15
Ex-dividend Time TBD
Ex-dividend (predicted) $0.26
Add to Google Calendar
Aug 5
Insider sale Time TBD
Insider sale notice (Form 144, ~$1.2M)
Add to Google Calendar
Jul 22
Earnings 8:30
Earnings call (第2四半期)
Add to Google Calendar
Earnings 7:00
Q2 earnings
Add to Google Calendar
Filing Time TBD
Quarterly report (10-Q) filing due (est.)
Add to Google Calendar
Apr 23
Earnings Time TBD
Q1 earnings
Add to Google Calendar
Jan 29
Earnings Time TBD
Full-year earnings
Add to Google Calendar
2025
Oct 21
Earnings Time TBD
Q3 earnings
Add to Google Calendar
Jul 22
Earnings Time TBD
Q2 earnings
Add to Google Calendar
Oct 22
Est.
Earnings 7:20 approx.
Q3 earnings (predicted)
Add to Google Calendar
Dec 15
Est.
Ex-dividend Time TBD
Ex-dividend (predicted) $0.26
Add to Google Calendar
2027
Jan 21
Est.
Earnings 7:20 approx.
FY earnings (predicted)
Add to Google Calendar
Feb 5
Est.
Filing Time TBD
Annual report (10-K) filing due (est.)
Add to Google Calendar
May 3
Est.
Shareholder meeting Time TBD
Annual meeting (est.)
Add to Google Calendar
Past events
2026
Sep 15
Ex-dividend Time TBD
Ex-dividend (predicted) $0.26
Add to Google Calendar

KPI highlights

FY25
Revenue $17.31B YoY -3.5%
Operating income $2.98B margin 17.2%
Net income $2.22B YoY -28.0%
EPS $11.21 YoY -24.4%
P/E 12.0× Slightly cheap Rough PER guide (a simplified band — fair value varies by industry and growth stage): <10 Cheap / 10–15 Slightly cheap / 15–22 Fair / 22–35 Slightly rich / ≥35 Rich
ROE 17.1% Equity ratio 72% Typical equity ratios vary a lot by industry. Banks, brokerages, and other financial companies tend to run lower ratios because leverage (using other people's capital) is core to their business model — a low ratio there isn't a sign of financial weakness.

Quarterly fundamentals

Income & cash flow Unit: $1M
Quarter FY24 Q4FY25 Q1FY25 Q2FY25 Q3FY25 Q4FY26 Q1
Revenue 4,9223,8934,4044,4054,6113,409
Operating income 1,157672805761740440
Net income 913523608586502347
Operating CF

Ownership over time

Share of total shares outstanding (disclosed major holdings + undisclosed)(2013–2026)

機関投資家 4.3%未開示 95.7%20132015201720192021202320252026
機関投資家 4.3%未開示 95.7%13Q114Q215Q316Q418Q119Q220Q321Q423Q124Q225Q426Q1
機関投資家その他未開示・浮動株

「国内機関」は信託銀行の名義口座(年金・パッシブ・一部海外資本を含む)を集計し、実質保有者へは分解していません。分類は開示名称からの推定です。

Top shareholders — rank & share

GEODE CAPITAL MANA 1.4%GEODE CAPITAL MANAGEMENT, LLCLSV ASSET MANAGEME 0.7%LSV ASSET MANAGEMENTAMERIPRISE FINANCI 0.5%AMERIPRISE FINANCIAL INCBank of New York M 0.4%Bank of New York Mellon CorpPacer Advisors, In 0.2%Pacer Advisors, Inc.BNP PARIBAS FINANC 0.1%BNP PARIBAS FINANCIAL MARKETSSumitomo Mitsui Tr 0.1%Sumitomo Mitsui Trust Group, Inc.20132015201720192021202320252026
GEODE CAPITAL MANA 1.4%GEODE CAPITAL MANAGEMENT, LLCLSV ASSET MANAGEME 0.7%LSV ASSET MANAGEMENTAMERIPRISE FINANCI 0.5%AMERIPRISE FINANCIAL INCBank of New York M 0.4%Bank of New York Mellon CorpPacer Advisors, In 0.2%Pacer Advisors, Inc.BNP PARIBAS FINANC 0.1%BNP PARIBAS FINANCIAL MARKETSSumitomo Mitsui Tr 0.1%Sumitomo Mitsui Trust Group, Inc.13Q114Q215Q316Q418Q119Q220Q321Q423Q124Q225Q426Q1

Top shareholders — actual figures (as of 2026)

Holder Shares held Ratio Source
GEODE CAPITAL MANAGEMENT, LLC 5,268,417 1.4% 13F
LSV ASSET MANAGEMENT 2,655,679 0.7% 13F
AMERIPRISE FINANCIAL INC 1,812,942 0.5% 13F
Bank of New York Mellon Corp 1,469,176 0.4% 13F
Pacer Advisors, Inc. 875,147 0.2% 13F
その他機関投資家(13F 96社) 619,604 0.2% 13F
BNP PARIBAS FINANCIAL MARKETS 579,064 0.1% 13F
Sumitomo Mitsui Trust Group, Inc. 485,428 0.1% 13F
Russell Investments Group, Ltd. 375,261 0.1% 13F
STRS OHIO 348,946 0.1% 13F
CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM 274,092 0.1% 13F
MARSHALL WACE, LLP 245,305 0.1% 13F
NEW YORK STATE TEACHERS RETIREMENT SYSTEM 221,981 0.1% 13F
WINSLOW ASSET MANAGEMENT INC 218,276 0.1% 13F
AEGON ASSET MANAGEMENT UK Plc 213,789 0.1% 13F
Livforsakringsbolaget Skandia, Omsesidigt 107,852 0.0% 13F
SYSTEMATIC FINANCIAL MANAGEMENT LP 107,195 0.0% 13F
THIRD AVENUE MANAGEMENT LLC 95,128 0.0% 13F
NISA INVESTMENT ADVISORS, LLC 93,365 0.0% 13F
Mn Services Vermogensbeheer B.V. 78,956 0.0% 13F
KLP KAPITALFORVALTNING AS 73,064 0.0% 13F
PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO 68,151 0.0% 13F
FOSTER & MOTLEY INC 65,743 0.0% 13F
VAN ECK ASSOCIATES CORP 49,747 0.0% 13F
NEUBERGER BERMAN GROUP LLC 49,180 0.0% 13F
DANSKE BANK A/S 47,228 0.0% 13F

Source:SEC EDGAR(DEF 14A・13D/G・13F) Classification inferred from disclosed names

F-Score (Piotroski)

4/9 2 of 9 items lack data

Checks financial health against 9 criteria and shows how many are met as a fraction (more ✓ marks is healthier). Items with no data are shown as “—” — they're simply excluded from judgment, not counted against the score.

Positive ROA ROA 12.3%
Positive operating cash flow $1.87B
ROA improved YoY 17.8% → 12.3%
Operating CF exceeds net income (accrual quality) OCF $1.87B / net income $2.22B
Equity ratio improved* Substitute for the original “decrease in long-term debt” 69.8% → 71.9%
Current ratio improved No data
No dilution (shares outstanding did not increase) 202,912,881 → 192,724,978
Gross margin improved No data
Asset turnover improved 1.03× → 0.96×

This score is reference information based on our own financial metrics. It is NOT a credit rating issued by a credit rating agency under Article 66-27 of the Financial Instruments and Exchange Act, and is NOT investment advice or a recommendation. Make investment decisions at your own responsibility.

Fact checklist

FY25
Equity ratio 71.9%
Current ratio
Years of positive operating CF 11 of last 12 yrs
Payout ratio 9%
Latest fiscal year result Profit (net income $2.22B)

Performance history

Last 10 years
$0.0B$4.5B$9.0B$13.5B$17.9B FY16FY17FY18FY19FY20FY21FY22FY23FY24FY25

Income & assets

Unit: $1M
Item FY16FY17FY18FY19FY20FY21FY22FY23FY24FY25
Revenue 7,6688,57310,18810,21311,03613,73716,00316,06217,94717,312
Operating income 1,7472,5573,4423,3963,8902,979
Ordinary income
Net income 6034471,0221,0171,4071,9462,6172,6023,0832,219
Total assets 10,1789,68710,17310,71612,20513,35314,79716,08717,36418,048
Equity 4,6594,1544,8185,4586,5707,4908,91410,38312,12212,985

A “—” means data wasn't available for that period — it's not a display error or an unusual value.

Indicators & cash flow

Unit: $1M
Item FY16FY17FY18FY19FY20FY21FY22FY23FY24FY25
EPS $1.76$1.45$3.56$3.67$5.19$7.44$11.07$11.79$14.82$11.21
ROE 12.9%10.8%21.2%18.6%21.4%26.0%29.4%25.1%25.4%17.1%
Operating CF 68.36631,4481,0761,7841,0046682,1971,6811,871
Investing CF -471-50.2-40.5-225-108-124-172-129-94.5-80.4
Financing CF 351-1,030-580-734-296-1,679-1,236-1,313-1,782-1,436
FCF 1,7269315562,1051,5621,749

A “—” means data wasn't available for that period — it's not a display error or an unusual value.

Source: SEC EDGAR (10-K, etc.) (fetched 2026-07-03) *Some metrics supplemented from additional sources

Key financial metrics

High ROE Dividend grower

Sector positioning

Relative standing within the sector

Data provided by Twelve Data