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NYSE · OPERATIVE BUILDERS · LARGE CAP

Everus Construction Group, Inc. ECG

4 fiscal years on record · USD · FY2025 reported · SEC filings only
$3.7B
▲ 31.5% YoY
$201.8M
▲ 40.7% YoY
$90.0M
▼ 21.8% YoY
In brief

What this company does

Everus Construction Group, Inc. provides specialty contracting services to a diverse set of end markets across the United States, operating out of its headquarters in Bismarck, North Dakota. As of December 31, 2025, it had approximately 9,400 employees, after peaking at approximately 10,000 employees across all functions and sites during the year. In 2025, it served approximately 4,000 customers across more than 44,000 projects, generating total operating revenues of $3.75 billion, of which its top 10 customers contributed approximately 43%, including a single customer that accounted for approximately 17%. It is organized into two reportable segments, Electrical & Mechanical and Transmission & Distribution. Its historical business was established in 1997 and has since expanded through more than 25 acquisitions. Following its separation from MDU Resources Group, Inc., Everus became an independent, publicly traded company listed on the New York Stock Exchange under the ticker symbol "ECG."

Written from the business description in Everus Construction Group, Inc.'s annual report to the U.S. Securities and Exchange Commission, filed 25 February 2026. Every sentence was checked against that document before publication.

Growth
USD 3.7B
Revenue, FY2025 · full 4-year series below
Revenue $B Net income $B
FY2025 · Revenue 3.7 · Net income 0.2
2B2022202320242025
Compound annual growth
+11.5%
+17.4%
3 yrs
5 yrs
10 yrs
15 yrs

Compound annual rates per period — left blank where that exact year isn't on file, the series crosses a loss, or (per-share rows) a split falls inside the window.

Profitability
5 cents
of every revenue dollar became profit
Operating margin Net margin
FY2025 · Operating 7.1% · Net 5.4%
2%4%6%2022202320242025
ROE
FY2025 · ROE 38.3%
10%20%30%2022202320242025

Each USD of equity produced 38 cents of profit this year.

Cash & shareholders
returned in FY2025 · dividends + net buybacks
Free cash flow $M
FY2025 · FCF 90.0
50.0M100.0M-25.0M-50.0M2022202320242025

Total assetsUSD 1.7B
EquityUSD 629.8M
CashUSD 170.5M
Gross debtUSD 281.5M
Net debtUSD 111.0M
Current ratio1.76×

Net debt stands at 18% of equity.

The 4-year record
4 fiscal years
Every figure from documents filed with the SEC · USD

EPS, diluted, dividend per share and shares outstanding are shown without shading, and a vertical line marks the year the share count changed — the series crosses a large, unexplained change in share count, so the years on either side are not on a comparable scale.

row low → row highnegative
Metric 2025202420232022
Revenue $B3.72.82.92.7
Operating income $B0.30.20.20.2
EBITDA $B0.30.20.20.2
Income tax $B0.10.00.00.0
Net income $B0.20.10.10.1
Free cash flow $B0.10.10.1−0.1
EPS, diluted $3.952.812.692.45
Dividend / sh $····
Payout %····
ROE %38.332.933.032.6
Shares out B0.050.050.00·

Slide the table for earlier years · "·" marks a figure not available in our data for that year.

Provenance
Company facts, as filed
How we verify · 0 failures in 18 reconciliationsAUDITED

Reconciled in 4 of 19 fiscal years. 77 checks could not be computed.

EPS recomputationBalance-sheet identityGross profitBalance-sheet liquiditymoeda_consistente0 failures
ActivityOperative Builders
Listed onNYSE
Incorporated inDelaware
Fiscal year endsDecember 31
Data on record since2022

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