Symbols / BLDR Stock $90.14 -0.54% Builders FirstSource, Inc.

Industrials • Building Products & Equipment • United States • NYQ
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About

Builders FirstSource, Inc., together with its subsidiaries, provides building materials for professional builders in new residential construction and repair, and remodeling in the United States. It offers manufactured products, such as factory-built substitutes for job-site framing, wood floor and roof trusses, wall panels, and engineered wood; Ready-Frame, a whole house framing solution; manufactured and semi-custom modular homes, and built in a temperature-controlled facility under its Pine Grove Homes and Pleasant Valley Homes brand names; manufactured housing plans including ranch, community, and single-section homes; manufacturing, assembly, and distribution of windows; and the assembly and distribution of interior and exterior door units. The company also provides millwork, including interior trim and custom features under the Synboard brand name; specialty building products and services comprising vinyl, composite and wood siding, exterior trim, metal studs, cement, roofing, insulation, wallboard, ceilings, cabinets, and hardware; turn-key framing, shell construction, design assistance, and professional installation of products. In addition, it offers drafting, estimating, quoting, and virtual home design services to retailers, distributors, manufacturers, and homebuilders; dimensional lumber, plywood, and oriented strand board products used in on-site house framing. The company was formerly known as BSL Holdings, Inc. and changed its name to Builders FirstSource, Inc. in October 1999. Builders FirstSource, Inc. was incorporated in 1998 and is based in Irving, Texas.

Stock Fundamentals
Scroll to Statements
Market Cap 9.69B Enterprise Value 14.94B Income 435.20M Sales 15.19B Book/sh 39.36 Cash/sh 1.64
Dividend Yield Payout 0.00% Employees 28000 IPO P/E 23.17 Forward P/E 12.28
PEG 2.02 P/S 0.64 P/B 2.29 P/C EV/EBITDA 10.85 EV/Sales 0.98
Quick Ratio 1.08 Current Ratio 1.86 Debt/Eq 117.19 LT Debt/Eq EPS (ttm) 3.89 EPS next Y 7.34
EPS Growth -82.90% Revenue Growth -12.10% Earnings 2026-04-30 ROA 4.50% ROE 10.06% ROIC
Gross Margin 30.39% Oper. Margin 1.84% Profit Margin 2.86% Shs Outstand 107.52M Shs Float 107.41M Short Float 7.87%
Short Ratio 2.78 Short Interest 52W High 151.03 52W Low 76.50 Beta 1.64 Avg Volume 2.32M
Volume 1.86M Target Price $118.14 Recom Buy Prev Close $90.63 Price $90.14 Change -0.54%
Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus
$118.14
Mean price target
2. Current target
$90.14
Latest analyst target
3. DCF / Fair value
$104.44
Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$90.14
Low
$84.00
High
$150.00
Mean
$118.14

Latest analyst rating changes

Date Action Analyst Rating Change Price Target
2026-04-20 main B of A Securities Neutral → Neutral $100
2026-04-13 main Goldman Sachs Buy → Buy $110
2026-04-08 main Wells Fargo Equal-Weight → Equal-Weight $87
2026-04-08 main Barclays Overweight → Overweight $114
2026-03-24 reit Stephens & Co. Equal-Weight → Equal-Weight $125
2026-03-16 main Stifel Hold → Hold $93
2026-03-05 up RBC Capital Sector Perform → Outperform $119
2026-02-26 init William Blair — → Outperform
2026-02-20 main Benchmark Buy → Buy $138
2026-02-20 main Barclays Overweight → Overweight $124
2026-02-18 main Baird Neutral → Neutral $125
2026-02-11 main Wells Fargo Equal-Weight → Equal-Weight $120
2026-02-02 main DA Davidson Neutral → Neutral $111
2026-01-20 down Stephens & Co. Overweight → Equal-Weight $137
2026-01-15 main Barclays Overweight → Overweight $136
2026-01-06 main UBS Buy → Buy $143
2025-12-16 main Stifel Hold → Hold $115
2025-12-15 down Jefferies Buy → Hold $110
2025-12-08 main Barclays Overweight → Overweight $123
2025-11-17 init Wells Fargo — → Equal-Weight $115
Insider Transactions
Filed Date Insider Relationship Transaction Shares Price Value SEC
2026-03-13 JACKSON PETER M Chief Executive Officer 50,962 $0.00 $0
2026-03-13 ROBINS SCOTT L. Officer 15,101 $0.00 $0
2026-03-13 HILLER MICHAEL Officer 16,946 $0.00 $0
2026-03-13 HERRON STEPHEN J Chief Operating Officer 21,975 $0.00 $0
2026-03-13 COPE JONATHAN P Officer 5,676 $0.00 $0
2026-03-13 TRESTER MATTHEW Officer 2,117 $0.00 $0
2026-03-13 VAUGHN PAUL Officer 9,900 $0.00 $0
2026-03-13 VANCE TODD Officer 9,900 $0.00 $0
2026-03-13 NARAYAN GAYATRI Officer 9,365 $0.00 $0
2026-03-13 LEVY PAUL S Director 50,000 $87.73 $4,386,500
Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
15,190.64
-7.38%
16,400.49
-4.08%
17,097.33
-24.77%
22,726.42
Operating Revenue
15,190.64
-7.38%
16,400.49
-4.08%
17,097.33
-24.77%
22,726.42
Cost Of Revenue
10,574.86
-4.02%
11,017.45
-0.61%
11,085.00
-26.01%
14,982.04
Reconciled Cost Of Revenue
10,574.86
-4.02%
11,017.45
-0.61%
11,085.00
-26.01%
14,982.04
Gross Profit
4,615.78
-14.25%
5,383.04
-10.47%
6,012.33
-22.37%
7,744.38
Operating Expense
3,829.50
+1.10%
3,787.80
-1.26%
3,836.01
-3.48%
3,974.17
Selling General And Administration
3,829.50
+1.10%
3,787.80
-1.26%
3,836.01
-3.48%
3,974.17
Total Expenses
14,404.36
-2.71%
14,805.24
-0.78%
14,921.01
-21.29%
18,956.21
Operating Income
786.28
-50.71%
1,595.25
-26.70%
2,176.32
-42.28%
3,770.21
Total Operating Income As Reported
786.28
-50.71%
1,595.25
-26.70%
2,176.32
-42.28%
3,770.21
EBITDA
1,377.71
-36.13%
2,157.18
-21.12%
2,734.59
-35.92%
4,267.35
Normalized EBITDA
1,377.71
-36.13%
2,157.18
-21.12%
2,734.59
-35.92%
4,267.35
Reconciled Depreciation
591.43
+5.25%
561.93
+0.65%
558.27
+12.30%
497.14
EBIT
786.28
-50.71%
1,595.25
-26.70%
2,176.32
-42.28%
3,770.21
Net Income
435.20
-59.63%
1,077.90
-30.03%
1,540.56
-43.97%
2,749.37
Pretax Income
512.38
-63.07%
1,387.53
-30.07%
1,984.20
-44.45%
3,571.83
Net Non Operating Interest Income Expense
-273.89
-31.85%
-207.72
-8.12%
-192.12
+3.15%
-198.37
Interest Expense Non Operating
273.89
+31.85%
207.72
+8.12%
192.12
-3.15%
198.37
Net Interest Income
-273.89
-31.85%
-207.72
-8.12%
-192.12
+3.15%
-198.37
Interest Expense
273.89
+31.85%
207.72
+8.12%
192.12
-3.15%
198.37
Tax Provision
77.18
-75.07%
309.63
-30.21%
443.65
-46.06%
822.46
Tax Rate For Calcs
0.00
-32.50%
0.00
-0.38%
0.00
-2.61%
0.00
Tax Effect Of Unusual Items
0.00
0.00
0.00
0.00
Net Income Including Noncontrolling Interests
435.20
-59.63%
1,077.90
-30.03%
1,540.56
-43.97%
2,749.37
Net Income From Continuing Operation Net Minority Interest
435.20
-59.63%
1,077.90
-30.03%
1,540.56
-43.97%
2,749.37
Net Income From Continuing And Discontinued Operation
435.20
-59.63%
1,077.90
-30.03%
1,540.56
-43.97%
2,749.37
Net Income Continuous Operations
435.20
-59.63%
1,077.90
-30.03%
1,540.56
-43.97%
2,749.37
Normalized Income
435.20
-59.63%
1,077.90
-30.03%
1,540.56
-43.97%
2,749.37
Net Income Common Stockholders
435.20
-59.63%
1,077.90
-30.03%
1,540.56
-43.97%
2,749.37
Diluted EPS
3.89
-57.06%
9.06
-24.12%
11.94
-29.01%
16.82
Basic EPS
3.91
-57.17%
9.13
-24.30%
12.06
-28.98%
16.98
Basic Average Shares
111.42
-5.61%
118.04
-7.62%
127.78
-21.11%
161.96
Diluted Average Shares
111.82
-6.02%
118.98
-7.77%
129.00
-21.09%
163.48
Diluted NI Availto Com Stockholders
435.20
-59.63%
1,077.90
-30.03%
1,540.56
-43.97%
2,749.37
Line Item Trend 2023-12-31
Total Assets
10,499.45
Current Assets
3,300.73
Cash Cash Equivalents And Short Term Investments
66.16
Cash And Cash Equivalents
66.16
Receivables
1,892.90
Accounts Receivable
1,436.92
Gross Accounts Receivable
1,479.40
Allowance For Doubtful Accounts Receivable
-42.49
Other Receivables
455.99
Inventory
1,228.27
Other Current Assets
113.40
Total Non Current Assets
7,198.72
Net PPE
2,306.01
Gross PPE
3,318.00
Accumulated Depreciation
-1,011.99
Properties
0.00
Land And Improvements
369.57
Buildings And Improvements
714.77
Machinery Furniture Equipment
1,516.38
Construction In Progress
207.83
Other Properties
509.45
Goodwill And Other Intangible Assets
4,854.73
Goodwill
3,556.56
Other Intangible Assets
1,298.17
Non Current Deferred Assets
Non Current Deferred Taxes Assets
Other Non Current Assets
37.99
Total Liabilities Net Minority Interest
5,767.10
Current Liabilities
1,863.44
Payables And Accrued Expenses
1,508.92
Payables
957.48
Accounts Payable
881.38
Current Accrued Expenses
551.44
Total Tax Payable
76.10
Income Tax Payable
Current Debt And Capital Lease Obligation
101.87
Current Debt
3.65
Other Current Borrowings
3.65
Current Capital Lease Obligation
98.22
Current Deferred Liabilities
162.66
Current Deferred Revenue
162.66
Total Non Current Liabilities Net Minority Interest
3,903.66
Long Term Debt And Capital Lease Obligation
3,611.49
Long Term Debt
3,177.41
Long Term Capital Lease Obligation
434.08
Non Current Deferred Liabilities
167.20
Non Current Deferred Taxes Liabilities
167.20
Other Non Current Liabilities
124.97
Stockholders Equity
4,732.35
Common Stock Equity
4,732.35
Capital Stock
1.22
Common Stock
1.22
Preferred Stock
0.00
Share Issued
121.86
Ordinary Shares Number
121.86
Treasury Shares Number
0.00
Additional Paid In Capital
4,270.95
Retained Earnings
460.18
Total Equity Gross Minority Interest
4,732.35
Total Capitalization
7,909.76
Working Capital
1,437.29
Invested Capital
7,913.41
Total Debt
3,713.36
Net Debt
3,114.90
Capital Lease Obligations
532.30
Net Tangible Assets
-122.38
Tangible Book Value
-122.38
Current Provisions
89.99
Interest Payable
34.54
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
1,215.89
-35.07%
1,872.69
-18.82%
2,306.87
-35.91%
3,599.23
Cash Flow From Continuing Operating Activities
1,215.89
-35.07%
1,872.69
-18.82%
2,306.87
-35.91%
3,599.23
Net Income From Continuing Operations
435.20
-59.63%
1,077.90
-30.03%
1,540.56
-43.97%
2,749.37
Depreciation Amortization Depletion
591.43
+5.25%
561.93
+0.65%
558.27
+12.30%
497.14
Depreciation And Amortization
591.43
+5.25%
561.93
+0.65%
558.27
+12.30%
497.14
Other Non Cash Items
2.99
-86.74%
22.56
+1460.04%
-1.66
-134.30%
4.84
Stock Based Compensation
53.51
-15.21%
63.11
+30.07%
48.52
+54.84%
31.34
Provisionand Write Offof Assets
10.42
+190.69%
-11.49
-129.52%
38.92
Asset Impairment Charge
38.92
Deferred Tax
6.81
+135.77%
-19.03
+81.42%
-102.46
-10.82%
-92.46
Deferred Income Tax
6.81
+135.77%
-19.03
+81.42%
-102.46
-10.82%
-92.46
Operating Gains Losses
16.97
+367.53%
-6.34
-124.95%
25.42
Change In Working Capital
125.94
-24.23%
166.22
-36.95%
263.64
-23.51%
344.67
Change In Receivables
200.63
-26.95%
274.65
+4598.07%
-6.11
-101.51%
405.27
Changes In Account Receivables
182.50
-29.70%
259.62
+1175.95%
-24.13
-106.33%
381.22
Change In Inventory
198.52
+285.66%
51.48
-77.76%
231.46
-14.87%
271.89
Change In Payables And Accrued Expense
-253.13
-136.68%
-106.95
-261.93%
66.05
+120.03%
-329.77
Change In Accrued Expense
-85.95
-9.71%
-78.35
-707.40%
-9.70
+38.45%
-15.77
Change In Payable
-167.18
-484.54%
-28.60
-137.76%
75.75
+124.12%
-314.00
Change In Account Payable
-167.18
-484.54%
-28.60
-137.76%
75.75
+124.12%
-314.00
Change In Other Working Capital
-10.76
+78.54%
-50.12
-29.53%
-38.70
-116.19%
-17.90
Change In Other Current Assets
-9.31
-229.35%
-2.83
-125.85%
10.94
-27.89%
15.17
Investing Cash Flow
-1,467.17
-106.44%
-710.72
-6.35%
-668.29
+30.20%
-957.48
Cash Flow From Continuing Investing Activities
-1,467.17
-106.44%
-710.72
-6.35%
-668.29
+30.20%
-957.48
Net PPE Purchase And Sale
-341.85
+6.74%
-366.57
+14.67%
-429.62
-30.40%
-329.46
Purchase Of PPE
-362.60
+4.72%
-380.57
+20.10%
-476.33
-40.04%
-340.15
Sale Of PPE
20.75
+48.28%
13.99
-70.04%
46.72
+337.12%
10.69
Capital Expenditure
-362.60
+4.72%
-380.57
+20.10%
-476.33
-40.04%
-340.15
Net Business Purchase And Sale
-1,125.32
-226.99%
-344.14
-44.19%
-238.67
+62.00%
-628.01
Purchase Of Business
-1,125.32
-226.99%
-344.14
-44.19%
-238.67
+62.00%
-628.01
Financing Cash Flow
279.42
+126.00%
-1,074.51
+34.99%
-1,652.87
+36.52%
-2,603.91
Cash Flow From Continuing Financing Activities
279.42
+126.00%
-1,074.51
+34.99%
-1,652.87
+36.52%
-2,603.91
Net Issuance Payments Of Debt
747.15
+40.28%
532.60
+172.04%
195.78
+219.49%
61.28
Issuance Of Debt
4,808.00
+146.06%
1,954.00
-61.90%
5,128.00
-25.49%
6,882.50
Repayment Of Debt
-4,060.85
-185.69%
-1,421.40
+71.18%
-4,932.22
+27.69%
-6,821.22
Long Term Debt Issuance
4,808.00
+146.06%
1,954.00
-61.90%
5,128.00
-25.49%
6,882.50
Long Term Debt Payments
-4,060.85
-185.69%
-1,421.40
+71.18%
-4,932.22
+27.69%
-6,821.22
Net Long Term Debt Issuance
747.15
+40.28%
532.60
+172.04%
195.78
+219.49%
61.28
Short Term Debt Issuance
Short Term Debt Payments
Net Short Term Debt Issuance
Net Common Stock Issuance
-413.96
+72.71%
-1,517.13
+16.25%
-1,811.52
+30.15%
-2,593.39
Common Stock Payments
-413.96
+72.71%
-1,517.13
+16.25%
-1,811.52
+30.15%
-2,593.39
Repurchase Of Capital Stock
-413.96
+72.71%
-1,517.13
+16.25%
-1,811.52
+30.15%
-2,593.39
Proceeds From Stock Option Exercised
0.66
+11.88%
0.59
Net Other Financing Charges
-53.78
+40.23%
-89.98
-142.33%
-37.13
+48.29%
-71.80
Changes In Cash
28.13
-67.84%
87.47
+712.14%
-14.29
-137.76%
37.84
Beginning Cash Position
153.62
+132.21%
66.16
-17.76%
80.44
+88.82%
42.60
End Cash Position
181.75
+18.31%
153.62
+132.21%
66.16
-17.76%
80.44
Free Cash Flow
853.28
-42.81%
1,492.12
-18.49%
1,830.54
-43.83%
3,259.08
Interest Paid Supplemental Data
260.51
+38.24%
188.45
+1.05%
186.50
+10.10%
169.39
Income Tax Paid Supplemental Data
67.66
-81.86%
373.06
-35.54%
578.73
-38.20%
936.42
Sale Of Business
0.00
0.00
SEC Filings

Recent 10-K, 10-Q, 8-K, and Form 4 (insider) filings.

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