Sunday 11 October 2026 Export all MYRG data to Excel Powerpack

MYR Group, Inc.

MYRG Industrials Engineering & Construction

MYR Group, Inc.’s revenue for fiscal 2025 (year ended December 2025) was $3.7 billion, up 8.79% from fiscal 2024. In the quarter to June 2026, revenue grew 20.2%, EPS grew 88.2%, free cash flow fell 283.3% and total debt fell 88.4%, each against the same quarter a year earlier.

311.63 0.82 +0.26%
Market cap
$4.8B
P/E
29.3×
Fwd P/E
39.8×
Dividend yield
—
F-score
8/9
Altman Z
5.27
Beneish M
−3.32
Dividend safety
n/a
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20 Dec '19 Dec '18 Dec '17 Dec '16
P/E ratio
28.83 79.98 26.18 18.49 21.89 17.03 14.36 14.83 27.50 29.37
Piotroski F-Score
8 5 6 5 8 6 4 6 4 7
Altman Z-Score
5.27 4.67 4.79 4.12 5.14 4.22 3.33 3.56 4.30 4.07
P/S ratio
0.93 0.73 0.65 0.51 0.75 0.45 0.26 0.30 0.41 0.57
P/FCF ratio
14.22 123.09 0.00 16.70 21.17 7.47 48.60 11.98 0.00 20.15
Altman Z″-Score (non-manufacturers)
3.44 3.12 3.46 3.24 4.11 3.54 3.24 3.70 4.13 3.72
Beneish M-Score
(3.32) (2.32) (2.26) (2.38) (2.74) (3.10) (2.21) (2.73) (2.02) (2.68)
P/Operating CF
29.77 116.00 55.85 16.46 64.16 21.54 16.30 17.73 46.20 46.68
P/B ratio
5.18 4.08 3.66 2.75 3.59 2.34 1.48 1.43 2.03 2.48
EV/Sales
0.91 0.75 0.66 0.51 0.71 0.45 0.34 0.36 0.47 0.61
EV/EBITDA
14.26 21.13 12.71 8.87 10.83 7.59 6.83 6.06 9.67 8.90
EV/FCF
13.84 126.65 (294.89) 16.61 20.29 7.52 62.43 14.14 (18.46) 21.39
Current Ratio
1.33 1.40 1.37 1.33 1.50 1.44 1.61 1.68 2.01 1.75
Net Debt/EBITDA
(0.39) 0.59 0.06 (0.05) (0.47) 0.05 1.51 0.93 1.13 0.51
Debt/Equity
0.09 0.12 0.06 0.08 0.01 0.07 0.46 0.28 0.29 0.24
ROE
18.78% 4.84% 15.02% 15.45% 17.93% 14.81% 10.94% 10.17% 7.69% 7.23%
ROA
7.56% 1.97% 6.11% 6.62% 8.03% 5.86% 4.29% 4.60% 3.59% 3.90%
ROIC
18.32% 5.04% 12.17% 13.01% 16.78% 12.40% 6.90% 7.70% 5.07% 7.99%
Return on Tangible Assets
20.71% 5.56% 16.60% 18.27% 19.07% 15.53% 8.81% 8.79% 6.24% 7.11%
Average Days of Receivables
60.24 71.40 52.68 59.55 56.19 62.93 68.81 68.76 63.69 76.96
Earnings Yield
3.47% 1.25% 3.82% 5.41% 4.57% 5.87% 6.97% 6.74% 3.64% 3.40%
Free Cash Flow Yield
7.03% 0.81% (0.34%) 5.99% 4.72% 13.39% 2.06% 8.35% (6.14%) 4.96%
Free Cash Flow per Share
15.37 1.21 (0.49) 5.51 5.22 8.05 0.67 2.35 (2.19) 1.89
Book value per Share
42.22 36.46 39.04 33.42 30.83 25.73 21.97 19.74 17.64 15.38
Free Cash Flow
240.39 19.90 (8.11) 92.42 87.93 134.24 11.12 38.67 (35.70) 32.42
EV/EBIT
19.94 46.61 18.53 13.36 15.05 11.66 12.14 10.87 22.30 17.89
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