marketcaparena

KBH

KB HOME

Company overview

Market capitalization
$2.94B
Employees
2,118
Latest publication
2026-09-29
About KB HOME

KB Home operates as a homebuilding company in the United States. It builds and sells homes, including attached and detached single-family residential homes, townhomes, and condominiums primarily for first-time, first move-up, second move-up, and active adult homebuyers. The company also provides financial services, such as mortgage banking services, such as residential consumer mortgage loan originations to homebuyers; property and casualty insurance services, as well as earthquake, flood, and personal property insurance products to homebuyers; and title services. It conducts operations in Arizona, California, Colorado, Florida, Idaho, Nevada, North Carolina, Texas, and Washington. The company was formerly known as Kaufman and Broad Home Corporation and changed its name to KB Home in January 2001. KB Home was founded in 1957 and is based in Los Angeles, California.

Company website

Financial statements

Income Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ3 20262026-08-31 · USDQ2 20262026-05-31 · USDQ1 20262026-02-28 · USDQ4 20252025-11-30 · USDQ3 20252025-08-31 · USDQ2 20252025-05-31 · USDQ1 20252025-02-28 · USDQ4 20242024-11-30 · USD
Total Revenue1,297,101,000USD1,112,435,000USD1,077,011,000USD1,694,378,000USD1,620,474,000USD1,529,585,000USD1,391,777,000USD1,999,899,000USD
Gross Profit16,500USD—167,432,000USD292,903,000USD297,747,000USD297,960,000USD282,824,000USD421,103,000USD
Selling General Administrative146,626,000USD—52,749,000USD71,333,000USD66,196,000USD68,082,000USD65,459,000USD144,497,000USD
Operating Income67,134,000USD—36,388,000USD124,359,000USD135,595,000USD134,762,000USD130,536,000USD234,442,000USD
Income Before Tax73,799,000USD37,249,000USD40,324,000USD129,221,000USD143,228,000USD142,383,000USD139,357,000USD247,705,000USD
Income Tax Expense15,900,000USD9,900,000USD6,900,000USD27,700,000USD33,400,000USD34,500,000USD29,800,000USD57,100,000USD
Net Income65,280,000USD27,349,000USD33,424,000USD101,521,000USD109,828,000USD107,883,000USD109,557,000USD190,605,000USD
Cost Of Revenue——909,579,000USD1,401,475,000USD1,322,727,000USD1,231,625,000USD1,108,953,000USD1,578,796,000USD
Selling And Marketing Expenses——78,295,000USD97,211,000USD95,956,000USD95,116,000USD86,829,000USD42,164,000USD
Total Operating Expenses——131,044,000USD168,544,000USD162,152,000USD163,198,000USD152,288,000USD186,661,000USD
Interest Income——1,281,000USD1,758,000USD1,870,000USD1,679,000USD2,079,000USD2,722,000USD
Net Interest Income——1,281,000USD1,758,000USD1,870,000USD1,679,000USD2,079,000USD2,722,000USD
Tax Provision——6,900,000USD27,700,000USD33,400,000USD34,500,000USD29,800,000USD57,100,000USD
Net Income From Continuing Ops——33,424,000USD101,521,000USD109,828,000USD107,883,000USD109,557,000USD190,605,000USD
Ebit——40,324,000USD129,221,000USD143,228,000USD142,383,000USD139,357,000USD247,705,000USD
Ebitda——50,441,000USD139,084,000USD152,634,000USD151,602,000USD148,172,000USD256,718,000USD
Depreciation And Amortization——10,117,000USD9,863,000USD9,406,000USD9,219,000USD8,815,000USD9,013,000USD
Reconciled Depreciation——10,117,000USD9,863,000USD9,406,000USD9,219,000USD8,815,000USD9,013,000USD
Total Other Income Expense Net——3,936,000USD4,862,000USD7,633,000USD7,621,000USD8,821,000USD13,263,000USD
Net Income Applicable To Common Shares——33,274,000USD100,969,000USD109,082,000USD107,181,000USD108,877,000USD189,320,000USD
SourceDisclosurePreliminaryDisclosureDeterministicFinalLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacy

Income Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-11-30 · USDFY 20242024-11-30 · USDFY 20232023-11-30 · USDFY 20222022-11-30 · USDFY 20212021-11-30 · USDFY 20202020-11-30 · USDFY 20192019-11-30 · USDFY 20182018-11-30 · USD
Total Revenue6,236,214,000USD6,930,086,000USD6,410,629,000USD6,903,776,000USD5,724,930,000USD4,183,174,000USD4,552,747,000USD4,547,002,000USD
Cost Of Revenue5,064,780,000USD5,457,616,000USD39,494,000USD5,219,105,000USD4,474,366,000USD3,380,451,000USD3,713,261,000USD3,747,764,000USD
Gross Profit1,171,434,000USD1,472,470,000USD6,371,135,000USD1,684,671,000USD1,250,564,000USD802,723,000USD839,486,000USD799,238,000USD
Selling General Administrative271,070,000USD290,413,000USD632,094,000USD635,407,000USD579,431,000USD470,779,000USD497,350,000USD444,154,000USD
Selling And Marketing Expenses375,112,000USD396,435,000USD143,577,000USD—5,055,000USD———
Total Operating Expenses646,182,000USD686,848,000USD5,652,398,000USD629,645,000USD589,222,000USD486,251,000USD508,106,000USD453,517,000USD
Operating Income525,252,000USD785,622,000USD718,737,000USD1,055,026,000USD661,342,000USD316,472,000USD331,380,000USD345,721,000USD
Interest Income7,386,000USD32,101,000USD13,759,000USD704,000USD1,049,000USD2,554,000USD2,158,000USD3,514,000USD
Net Interest Income7,386,000USD32,101,000USD13,759,000USD704,000USD1,049,000USD2,554,000USD2,158,000USD3,514,000USD
Income Before Tax554,189,000USD850,918,000USD409,077,000USD1,072,066,000USD695,346,000USD364,043,000USD348,175,000USD367,965,000USD
Income Tax Expense125,400,000USD195,900,000USD-181,100,000USD255,400,000USD130,600,000USD67,800,000USD79,400,000USD197,600,000USD
Tax Provision125,400,000USD195,900,000USD181,100,000USD255,400,000USD130,600,000USD67,800,000USD79,400,000USD197,600,000USD
Net Income428,789,000USD655,018,000USD590,177,000USD816,666,000USD564,746,000USD296,243,000USD268,775,000USD170,365,000USD
Net Income From Continuing Ops428,789,000USD655,018,000USD590,177,000USD816,666,000USD564,746,000USD296,243,000USD423,694,000USD546,835,000USD
Ebit554,189,000USD850,918,000USD718,737,000USD1,072,066,000USD676,188,000USD327,861,000USD342,136,000USD355,084,000USD
Ebitda591,492,000USD888,190,000USD718,737,000USD1,104,385,000USD704,828,000USD356,257,000USD369,294,000USD357,614,000USD
Depreciation And Amortization37,303,000USD37,272,000USD36,413,000USD32,319,000USD28,640,000USD28,396,000USD27,158,000USD2,530,000USD
Reconciled Depreciation37,303,000USD37,272,000USD36,413,000USD32,319,000USD28,640,000USD28,396,000USD27,158,000USD2,530,000USD
Total Other Income Expense Net28,937,000USD65,296,000USD-309,660,000USD17,040,000USD34,004,000USD47,571,000USD16,795,000USD22,244,000USD
Net Income Applicable To Common Shares426,119,000USD650,190,000USD585,903,000USD816,666,000USD564,746,000USD296,243,000USD268,775,000USD170,365,000USD
Unclassified Operating Expenses——4,876,727,000USD——15,472,000USD10,756,000USD9,363,000USD
Interest Expense——107,086,000USD704,000USD120,514,000USD124,147,000USD143,412,000USD0USD
Non Operating Income Net Other———17,040,000USD19,158,000USD36,182,000USD2,158,000USD3,514,000USD
Research Development———————0USD
SourceLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacy

Balance sheet Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ3 20262026-08-31 · USDQ2 20262026-05-31 · USDQ1 20262026-02-28 · USDQ4 20252025-11-30 · USDQ3 20252025-08-31 · USDQ2 20252025-05-31 · USDQ1 20252025-02-28 · USDQ4 20242024-11-30 · USD
Total Assets6,969,152,000USD6,775,462,000USD6,702,837,000USD6,721,057,000USD6,985,572,000USD7,017,596,000USD6,979,260,000USD6,936,169,000USD
Cash And Equivalents159,018,000USD—201,798,000USD230,443,000USD332,298,000USD310,942,000USD269,458,000USD599,193,000USD
Total Liabilities6,969,152,000USD2,978,652,000USD——————
Net Receivables397,791,000USD—359,978,000USD356,205,000USD390,742,000USD374,734,000USD351,379,000USD382,940,000USD
Inventory2,986,000USD—5,703,970,000USD5,670,802,000USD5,838,816,000USD5,913,348,000USD5,942,547,000USD5,528,020,000USD
Property Plant Equipment Net102,880,000USD—104,567,000USD118,976,000USD115,780,000USD115,670,000USD112,732,000USD109,063,000USD
Total Stockholder Equity—3,796,810,000USD3,855,007,000USD3,900,858,000USD3,902,363,000USD3,990,538,000USD4,092,678,000USD4,060,616,000USD
Total Equity Including Noncontrolling Interest—3,796,810,000USD——————
Common Stock—63,653,000USD74,507,000USD74,477,000USD74,451,000USD74,437,000USD74,437,000USD74,410,000USD
Retained Earnings—3,032,713,000USD3,645,806,000USD3,629,638,000USD3,543,885,000USD3,450,350,000USD3,359,669,000USD3,269,423,000USD
Accumulated Other Comprehensive Income—-3,538,000USD-3,538,000USD-3,537,999USD-3,704,000USD-3,703,999USD-3,703,999USD-3,703,999USD
Other Current Assets——-2,968,000USD14,982,000USD17,575,000USD19,190,000USD12,786,000USD17,799,000USD
Total Liab——2,847,830,000USD2,820,199,000USD3,083,209,000USD3,027,058,000USD2,886,582,000USD2,875,553,000USD
Other Current Liab——468,816,000USD667,629,000USD523,911,000USD525,766,000USD478,900,000USD487,449,000USD
Capital Stock——74,507,000USD74,477,000USD74,451,000USD74,437,000USD74,437,000USD74,410,000USD
Other Assets——248,099,000USD240,078,000USD229,733,000USD226,558,000USD225,921,000USD24,426,000USD
Cash——200,526,000USD230,443,000USD332,298,000USD310,942,000USD269,458,000USD599,193,000USD
Cash And Short Term Investments——200,526,000USD230,443,000USD332,298,000USD310,942,000USD269,458,000USD599,193,000USD
Total Current Assets——6,261,506,000USD6,272,432,000USD6,579,431,000USD6,618,214,000USD6,576,170,000USD6,527,952,000USD
Total Current Liabilities——983,998,000USD1,372,074,000USD1,181,160,000USD932,339,000USD922,830,000USD936,147,000USD
Current Deferred Revenue——27,330,000USD—38,072,000USD44,296,000USD44,365,000USD44,029,000USD
Net Debt——1,721,185,000USD1,502,136,000USD1,632,025,000USD1,605,395,000USD1,545,235,000USD1,113,345,000USD
Short Term Debt——200,000,000USD350,000,000USD250,000,000USD0USD0USD0USD
Short Long Term Debt——200,000,000USD—250,000,000USD———
Short Long Term Debt Total——1,921,711,000USD1,732,579,000USD1,964,323,000USD1,916,337,000USD1,814,693,000USD1,712,538,000USD
Long Term Debt——1,693,258,000USD1,692,977,000USD1,693,582,000USD1,892,941,000USD1,792,307,000USD1,691,679,000USD
Long Term Investments——105,399,000USD100,867,000USD82,461,000USD75,229,000USD79,595,000USD89,017,000USD
Accounts Payable——287,852,000USD354,445,000USD369,177,000USD362,277,000USD366,325,000USD387,613,000USD
Property Plant Equipment Gross——130,436,000USD222,497,000USD115,780,000USD115,670,000USD112,732,000USD198,766,000USD
Common Stock Shares Outstanding——63,730,000shares65,041,000shares67,737,000shares72,108,000shares73,012,000shares75,114,000shares
Non Current Assets Total——193,232,000USD448,625,000USD406,141,000USD399,382,000USD403,090,000USD408,217,000USD
Non Current Liabilities Total——1,863,832,000USD1,448,125,000USD1,902,049,000USD2,094,719,000USD1,963,752,000USD1,939,406,000USD
Non Current Liabilities Other——43,731,000USD48,243,000USD41,769,000USD49,604,000USD41,227,000USD44,408,000USD
Non Currrent Assets Other——-76,835,000USD60,212,000USD105,479,000USD106,062,000USD108,342,000USD107,716,000USD
Net Working Capital——5,295,296,000USD5,411,203,000USD5,398,271,000USD5,685,875,000USD5,653,340,000USD5,591,805,000USD
Unclassified Non Current Assets——-264,833,000USD-71,508,000USD-127,312,000USD-124,137,000USD-123,500,000USD77,995,000USD
Unclassified Current Liabilities——-200,000,000USD—-250,000,000USD—33,240,000USD17,056,000USD
Unclassified Non Current Liabilities——126,843,000USD-293,095,000USD166,698,000USD152,174,000USD130,218,000USD203,319,000USD
Unclassified Equity——63,725,000USD125,803,999USD213,280,000USD395,017,999USD587,838,999USD646,076,999USD
Short Term Investments———————-1,220,000USD
SourceDisclosurePreliminaryDisclosureDeterministicFinalLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacy

Balance sheet Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-11-30 · USDFY 20242024-11-30 · USDFY 20232023-11-30 · USDFY 20222022-11-30 · USDFY 20212021-11-30 · USDFY 20202020-11-30 · USDFY 20192019-11-30 · USDFY 20182018-11-30 · USD
Total Assets6,721,057,000USD6,936,169,000USD6,648,362,000USD6,651,930,000USD5,835,918,000USD5,356,442,000USD5,015,482,000USD5,073,571,000USD
Other Current Assets14,982,000USD17,799,000USD15,879,000USD15,645,000USD338,172,999USD311,402,000USD278,875,000USD21,762,000USD
Total Liab2,820,199,000USD2,875,553,000USD2,838,222,000USD2,991,135,000USD2,816,443,000USD2,690,673,000USD2,632,360,000USD2,986,071,000USD
Total Stockholder Equity3,900,858,000USD4,060,616,000USD3,810,140,000USD3,660,795,000USD3,019,475,000USD2,665,769,000USD2,383,122,000USD2,087,500,000USD
Other Current Liab667,629,000USD487,449,000USD442,833,000USD52,447,000USD321,713,000USD627,969,000USD588,501,000USD413,960,000USD
Common Stock74,477,000USD74,410,000USD101,276,000USD100,711,000USD100,711,000USD99,869,000USD121,593,000USD119,196,000USD
Capital Stock74,477,000USD74,410,000USD101,276,000USD100,711,000USD100,711,000USD99,869,000USD121,593,000USD119,196,000USD
Retained Earnings3,629,638,000USD3,269,423,000USD3,676,924,000USD3,143,578,000USD2,379,364,000USD1,868,896,000USD2,157,183,000USD1,897,168,000USD
Other Assets240,078,000USD24,426,000USD34,400,000USD160,583,000USD982,589,000USD356,577,000USD441,590,000USD517,273,000USD
Cash230,443,000USD599,193,000USD727,342,000USD330,198,000USD290,764,000USD681,190,000USD453,814,000USD574,359,000USD
Cash And Equivalents230,443,000USD599,193,000USD727,342,000USD330,198,000USD292,136,000USD682,529,000USD454,858,000USD575,119,000USD
Cash And Short Term Investments230,443,000USD599,193,000USD727,342,000USD330,198,000USD290,764,000USD681,190,000USD453,814,000USD574,359,000USD
Total Current Assets6,272,432,000USD6,527,952,000USD6,246,512,000USD6,215,261,000USD5,397,784,000USD4,851,331,000USD4,407,471,000USD4,450,028,000USD
Total Current Liabilities1,372,074,000USD936,147,000USD908,860,000USD1,073,551,000USD1,128,731,000USD940,869,000USD881,555,000USD924,313,000USD
Net Debt1,502,136,000USD1,113,345,000USD989,087,000USD2,043,292,000USD1,394,263,000USD1,065,985,000USD1,294,933,000USD1,485,904,000USD
Short Term Debt350,000,000USD0USD29,931,000USD507,485,000USD364,160,000USD13,289,000USD7,900,000USD232,817,000USD
Short Long Term Debt Total1,732,579,000USD1,712,538,000USD1,716,429,000USD2,373,490,000USD2,049,187,000USD1,760,464,000USD1,756,647,000USD2,293,080,000USD
Long Term Debt1,692,977,000USD1,691,679,000USD1,689,898,000USD1,838,511,000USD1,685,027,000USD1,747,175,000USD1,748,747,000USD2,060,263,000USD
Long Term Investments100,867,000USD89,017,000USD78,482,000USD46,785,000USD36,088,000USD57,763,000USD71,412,000USD61,960,000USD
Net Receivables356,205,000USD382,940,000USD369,645,000USD326,242,000USD304,191,000USD272,659,000USD249,055,000USD292,830,000USD
Inventory5,670,802,000USD5,528,020,000USD5,133,646,000USD5,543,176,000USD4,802,829,000USD3,897,482,000USD3,704,602,000USD3,582,839,000USD
Accounts Payable354,445,000USD387,613,000USD390,097,000USD415,653,000USD371,826,000USD273,368,000USD262,772,000USD258,045,000USD
Property Plant Equipment Net118,976,000USD109,063,000USD113,034,000USD114,703,000USD76,313,000USD65,547,000USD65,043,000USD24,283,000USD
Property Plant Equipment Gross222,497,000USD198,766,000USD196,729,000USD192,283,000USD76,313,000USD101,514,000USD65,043,000USD24,283,000USD
Accumulated Other Comprehensive Income-3,537,999USD-3,703,999USD-3,671,000USD-5,575,000USD-19,119,000USD-22,276,000USD-15,506,000USD-9,565,000USD
Common Stock Shares Outstanding69,254,000shares76,955,000shares83,380,000shares89,348,000shares93,587,000shares94,086,000shares93,838,000shares101,059,000shares
Non Current Assets Total448,625,000USD408,217,000USD401,850,000USD436,669,000USD438,134,000USD505,111,000USD608,011,000USD623,543,000USD
Non Current Liabilities Total1,448,125,000USD1,939,406,000USD1,929,362,000USD1,917,584,000USD1,687,712,000USD1,749,804,000USD1,750,805,000USD2,061,758,000USD
Non Current Liabilities Other48,243,000USD44,408,000USD41,525,000USD3,128,000USD2,685,000USD2,629,000USD296,537,000USD367,919,000USD
Non Currrent Assets Other60,212,000USD107,716,000USD90,859,000USD87,635,000USD148,355,000USD161,712,000USD121,437,000USD119,763,000USD
Net Working Capital5,411,203,000USD5,591,805,000USD5,435,652,000USD5,044,964,000USD4,269,053,000USD4,546,687,000USD4,104,482,000USD4,153,961,000USD
Unclassified Non Current Assets-71,508,000USD77,995,000USD85,075,000USD26,963,000USD-805,211,000USD-136,488,000USD-91,471,000USD-99,736,000USD
Unclassified Non Current Liabilities-293,095,000USD203,319,000USD197,939,000USD-68,200,000USD-159,231,000USD-96,799,000USD-387,163,000USD-471,915,000USD
Unclassified Equity125,803,999USD646,076,999USD-65,665,000USD321,370,000USD675,191,000USD647,172,000USD589,603,000USD545,902,000USD
Current Deferred Revenue—44,029,000USD58,910,000USD76,738,000USD71,032,000USD26,243,000USD22,382,000USD19,491,000USD
Short Term Investments—-1,220,000USD-34,400,000USD46,785,000USD———8,594,000USD
Unclassified Current Liabilities—17,056,000USD-12,911,000USD-486,257,000USD———-629,271,000USD
Deferred Long Term Liab———4,346,000USD1,553,000USD2,400,000USD3,248,000USD1,732,000USD
Other Liab———139,799,000USD157,678,000USD94,399,000USD89,436,000USD103,759,000USD
Short Long Term Debt———507,485,000USD———629,271,000USD
Net Tangible Assets———3,663,923,000USD3,019,475,000USD2,668,398,000USD2,385,180,000USD2,088,995,000USD
Treasury Stock————-217,383,000USD-27,761,000USD-591,344,000USD-584,397,000USD
Unclassified Current Assets————-338,172,999USD-311,402,000USD-278,875,000USD—
SourceLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacy

Cash flow Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ2 20262026-05-31 · USDQ1 20262026-02-28 · USDQ4 20252025-11-30 · USDQ3 20252025-08-31 · USDQ2 20252025-05-31 · USDQ1 20252025-02-28 · USDQ4 20242024-11-30 · USDQ3 20242024-08-31 · USD
Net Income27,349,000USD33,424,000USD101,521,000USD109,828,000USD107,883,000USD109,557,000USD190,605,000USD157,329,000USD
Depreciation10,395,000USD1,050,000USD34,617,000USD-15,348,000USD9,219,000USD8,815,000USD9,013,000USD9,416,000USD
Stock Based Compensation5,518,000USD5,995,000USD21,107,000USD8,420,000USD9,153,000USD7,558,000USD9,218,000USD7,968,000USD
Other Non Cash Items5,590,000USD13,617,000USD-4,742,000USD38,731,000USD7,308,000USD9,046,000USD-3,248,000USD6,407,000USD
Change To Account Receivables-27,882,000USD2,821,000USD-2,170,000USD-13,511,000USD-18,581,000USD39,258,000USD10,381,000USD6,257,000USD
Change To Inventory-35,581,000USD-37,973,000USD150,562,000USD60,539,000USD25,805,000USD-416,363,000USD118,641,000USD-309,145,000USD
Change In Working Capital-16,955,000USD-179,453,000USD140,548,000USD56,092,000USD34,875,000USD-469,297,000USD145,699,000USD-271,733,000USD
Total Cash From Operating Activities31,897,000USD-125,367,000USD306,807,000USD197,723,000USD168,438,000USD-334,321,000USD362,641,000USD-89,913,000USD
Capital Expenditures-9,666,000USD-13,224,000USD-13,791,000USD-11,878,000USD-11,511,000USD-11,220,000USD-10,083,000USD-9,474,000USD
Free Cash Flow22,231,000USD-138,591,000USD293,016,000USD185,845,000USD156,927,000USD-345,541,000USD352,558,000USD-99,387,000USD
Total Cashflows From Investing Activities-12,303,000USD-17,972,000USD-22,525,000USD-21,821,000USD-9,752,000USD-10,664,000USD-11,981,000USD-9,156,000USD
Net Borrowings74,853,000USD199,685,000USD-250,073,000USD50,000,000USD100,000,000USD100,000,000USD1,905,000USD-1,083,000USD
Total Cash From Financing Activities-20,632,000USD114,694,000USD-386,137,000USD-154,546,000USD-117,202,000USD15,250,000USD-127,160,000USD-169,490,000USD
Dividends Paid-15,319,000USD-17,256,000USD-15,768,000USD-16,293,000USD-17,202,000USD-19,311,000USD-18,017,000USD-18,407,000USD
Sale Purchase Of Stock-80,123,000USD-50,000,000USD-102,843,000USD-188,460,000USD-200,000,000USD-50,000,000USD-103,698,000USD-150,000,000USD
Change In Cash-1,038,000USD-28,645,000USD-101,855,000USD21,356,000USD41,484,000USD-329,735,000USD223,500,000USD-268,559,000USD
Begin Period Cash Flow201,798,000USD230,443,000USD332,298,000USD310,942,000USD269,458,000USD599,193,000USD375,693,000USD644,252,000USD
End Period Cash Flow200,760,000USD201,798,000USD230,443,000USD332,298,000USD310,942,000USD269,458,000USD599,193,000USD375,693,000USD
Other Cashflows From Investing Activities-2,637,000USD-4,748,000USD-13,397,000USD-7,628,000USD2,315,000USD556,000USD-10,808,000USD-21,556,000USD
Other Cashflows From Financing Activities-124,000USD-18,212,000USD-8,425,000USD-138,253,000USD-15,884,000USD-15,884,000USD-7,350,000USD-9,156,000USD
Investments——0USD-21,821,000USD-9,752,000USD-10,664,000USD-11,981,000USD-9,156,000USD
Unclassified Operating Cash Flow——13,756,000USD———11,354,000USD—
Unclassified Investing Cash Flow——4,663,000USD19,506,000USD9,196,000USD10,664,000USD20,891,000USD31,030,000USD
Unclassified Financing Cash Flow——-9,028,000USD138,460,000USD15,884,000USD——9,156,000USD
SourceLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacy

Cash flow Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-11-30 · USDFY 20242024-11-30 · USDFY 20232023-11-30 · USDFY 20222022-11-30 · USDFY 20212021-11-30 · USDFY 20202020-11-30 · USDFY 20192019-11-30 · USDFY 20182018-11-30 · USD
Net Income428,789,000USD655,018,000USD590,177,000USD816,666,000USD564,746,000USD296,243,000USD268,775,000USD170,365,000USD
Depreciation37,303,000USD37,272,000USD36,413,000USD32,319,000USD28,640,000USD28,396,000USD27,158,000USD2,530,000USD
Stock Based Compensation46,238,000USD34,470,000USD34,612,000USD29,464,000USD28,904,000USD21,531,000USD18,312,000USD15,861,000USD
Other Non Cash Items47,378,000USD-10,856,000USD22,992,000USD34,325,000USD15,207,000USD33,188,000USD24,286,000USD34,906,000USD
Change To Account Receivables4,996,000USD16,586,000USD-12,919,000USD-19,885,000USD-32,014,000USD59,257,000USD44,428,000USD-49,778,000USD
Change To Inventory-179,457,000USD-385,795,000USD426,812,000USD-785,557,000USD-897,750,000USD-183,233,000USD-165,347,000USD-270,126,000USD
Change In Working Capital-237,782,000USD-370,236,000USD357,112,000USD-745,866,000USD-728,560,000USD-118,984,000USD-160,792,000USD-193,967,000USD
Total Cash From Operating Activities335,682,000USD362,722,000USD1,082,699,000USD183,418,000USD-37,296,000USD310,678,000USD251,042,000USD221,512,000USD
Capital Expenditures-48,400,000USD-39,311,000USD-35,468,000USD-45,234,000USD-39,399,000USD-28,841,000USD-40,459,000USD-7,370,000USD
Free Cash Flow287,282,000USD323,411,000USD1,047,231,000USD138,184,000USD-76,695,000USD281,837,000USD210,583,000USD214,142,000USD
Investments0USD-50,119,000USD-58,062,000USD-26,539,000USD1,315,000USD2,278,000USD11,290,000USD22,671,000USD
Total Cashflows From Investing Activities-61,797,000USD-50,119,000USD-58,062,000USD-71,773,000USD-38,084,000USD-26,563,000USD-40,944,000USD-20,107,000USD
Net Borrowings-73,000USD-917,000USD-153,843,000USD144,771,000USD-72,138,000USD-24,934,000USD-333,225,000USD-314,751,000USD
Total Cash From Financing Activities-642,635,000USD-440,752,000USD-627,493,000USD-73,583,000USD-315,013,000USD-56,444,000USD-330,359,000USD-347,147,000USD
Dividends Paid-68,574,000USD-71,554,000USD-56,831,000USD-52,452,000USD-54,052,000USD-38,065,000USD-20,370,000USD-8,892,000USD
Sale Purchase Of Stock-541,303,000USD-353,698,000USD-411,438,000USD-150,000,000USD-188,175,000USD-16,058,000USD1,315,250,000USD-35,039,000USD
Change In Cash-368,750,000USD-128,149,000USD397,144,000USD38,062,000USD-390,393,000USD227,671,000USD-120,261,000USD-145,742,000USD
Begin Period Cash Flow599,193,000USD727,342,000USD330,198,000USD292,136,000USD682,529,000USD454,858,000USD575,119,000USD720,861,000USD
End Period Cash Flow230,443,000USD599,193,000USD727,342,000USD330,198,000USD292,136,000USD682,529,000USD454,858,000USD575,119,000USD
Other Cashflows From Investing Activities-13,397,000USD-12,517,000USD-22,594,000USD-26,539,000USD1,315,000USD2,278,000USD5,804,000USD-12,737,000USD
Other Cashflows From Financing Activities-23,864,000USD-14,583,000USD-5,381,000USD2,368,034,000USD-17,150,000USD6,555,000USD-18,416,000USD11,535,000USD
Unclassified Operating Cash Flow13,756,000USD17,054,000USD41,393,000USD16,510,000USD53,767,000USD50,304,000USD73,303,000USD191,817,000USD
Unclassified Financing Cash Flow-8,821,000USD——-2,383,936,000USD16,502,000USD16,058,000USD-1,273,598,000USD—
Unclassified Investing Cash Flow—51,828,000USD58,062,000USD26,539,000USD-1,315,000USD-2,278,000USD-17,579,000USD-22,671,000USD
Change To Liabilities———53,097,000USD181,625,000USD-4,091,000USD-40,583,000USD126,710,000USD
Cash And Cash Equivalents Changes———38,062,000USD-390,393,000USD-393,685,000USD-120,261,000USD-145,742,000USD
Issuance Of Capital Stock——————30,524,000USD20,011,000USD
SourceLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacy

Operating metrics

No operating metrics are currently published for this company.

Revenue breakdown

PeriodDimensionBusiness / regionRevenueCurrencySource
Q3 2026Quarterly · 2026-08-31SegmentAdd: Inventory-related charges (a)2,986,000USDDisclosure
Q3 2026Quarterly · 2026-08-31SegmentHousing revenues1,292,350,000USDDisclosure
Q2 2026Quarterly · 2026-05-31ProductFinancial Service5,328,000USDDisclosure
Q2 2026Quarterly · 2026-05-31ProductHome Building — Housing1,106,252,000USDDisclosure
Q2 2026Quarterly · 2026-05-31ProductHome Building — Land855,000USDDisclosure
Q1 2026Quarterly · 2026-02-28ProductFinancial Service4,952,000USD0000795266-26-000042
Q1 2026Quarterly · 2026-02-28ProductHome Building — Housing1,071,474,000USD0000795266-26-000042
Q1 2026Quarterly · 2026-02-28ProductHome Building — Land585,000USD0000795266-26-000042
FY 2025Yearly · 2025-11-30ProductFinancial Service24,309,000USD0000795266-26-000017
FY 2025Yearly · 2025-11-30ProductHome Building — Housing6,210,560,000USD0000795266-26-000017
FY 2025Yearly · 2025-11-30ProductHome Building — Land1,345,000USD0000795266-26-000017
Q3 2025Quarterly · 2025-08-31ProductFinancial Service6,012,000USD0000795266-25-000097
Q3 2025Quarterly · 2025-08-31ProductHome Building1,614,462,000USD0000795266-25-000097
Q2 2025Quarterly · 2025-05-31ProductFinancial Service4,869,000USD0000795266-25-000081
Q2 2025Quarterly · 2025-05-31ProductHome Building1,524,716,000USD0000795266-25-000081
Q1 2025Quarterly · 2025-02-28ProductFinancial Service4,736,000USD0000795266-25-000043
Q1 2025Quarterly · 2025-02-28ProductHome Building1,387,041,000USD0000795266-25-000043
Q4 2024Quarterly · 2024-11-30ProductFinancial Service6,849,000USDLegacy provider
Q4 2024Quarterly · 2024-11-30ProductHome Building1,993,050,000USDLegacy provider
FY 2024Yearly · 2024-11-30ProductFinancial Service27,847,000USD0000795266-26-000017
FY 2024Yearly · 2024-11-30ProductHome Building — Housing6,898,667,000USD0000795266-26-000017
FY 2024Yearly · 2024-11-30ProductHome Building — Land3,572,000USD0000795266-26-000017
Q3 2024Quarterly · 2024-08-31ProductFinancial Service6,629,000USD0000795266-25-000097
Q3 2024Quarterly · 2024-08-31ProductHome Building1,745,979,000USD0000795266-25-000097
Q2 2024Quarterly · 2024-05-31ProductFinancial Service8,301,000USD0000795266-25-000081
Q2 2024Quarterly · 2024-05-31ProductHome Building1,701,512,000USD0000795266-25-000081
FY 2023Yearly · 2023-11-30ProductFinancial Service29,523,000USD0000795266-26-000017
FY 2023Yearly · 2023-11-30ProductHome Building — Housing6,370,421,000USD0000795266-26-000017
FY 2023Yearly · 2023-11-30ProductHome Building — Land10,685,000USD0000795266-26-000017
FY 2022Yearly · 2022-11-30ProductFinancial Service23,414,000USD0000795266-25-000014
FY 2022Yearly · 2022-11-30ProductHome Building6,880,362,000USD0000795266-25-000014
FY 2021Yearly · 2021-11-30ProductFinancial Service19,901,000USD0000795266-24-000008
FY 2021Yearly · 2021-11-30ProductHome Building5,705,029,000USD0000795266-24-000008
FY 2020Yearly · 2020-11-30ProductFinancial Service15,472,000USD0000795266-23-000009
FY 2020Yearly · 2020-11-30ProductHome Building4,167,702,000USD0000795266-23-000009
FY 2019Yearly · 2019-11-30ProductFinancial Service15,089,000USD0000795266-22-000010
FY 2019Yearly · 2019-11-30ProductHome Building4,537,658,000USD0000795266-22-000010
FY 2018Yearly · 2018-11-30ProductFinancial Service13,207,000USD0000795266-21-000012
FY 2018Yearly · 2018-11-30ProductHome Building4,533,795,000USD0000795266-21-000012
Q3 2016Quarterly · 2016-08-31SegmentFinancial Services3,172,000USD0000795266-16-000154
Q3 2016Quarterly · 2016-08-31SegmentHomebuilding910,111,000USD0000795266-16-000154
Q2 2016Quarterly · 2016-05-31SegmentFinancial Services2,588,000USD0000795266-16-000141
Q2 2016Quarterly · 2016-05-31SegmentHomebuilding808,462,000USD0000795266-16-000141
Q1 2016Quarterly · 2016-02-29SegmentFinancial Services2,629,000USD0000795266-16-000117
Q1 2016Quarterly · 2016-02-29SegmentHomebuilding675,742,000USD0000795266-16-000117
Q4 2015Quarterly · 2015-11-30SegmentFinancial Services3,692,000USDLegacy provider
Q4 2015Quarterly · 2015-11-30SegmentHomebuilding982,091,000USDLegacy provider
FY 2015Yearly · 2015-11-30SegmentFinancial Services11,043,000USD0000795266-16-000089
FY 2015Yearly · 2015-11-30SegmentHomebuilding3,020,987,000USD0000795266-16-000089
Q3 2015Quarterly · 2015-08-31SegmentFinancial Services2,953,000USD0000795266-16-000154
Q3 2015Quarterly · 2015-08-31SegmentHomebuilding840,204,000USD0000795266-16-000154
Q2 2015Quarterly · 2015-05-31SegmentFinancial Services2,165,000USD0000795266-16-000141
Q2 2015Quarterly · 2015-05-31SegmentHomebuilding620,804,000USD0000795266-16-000141
Q1 2015Quarterly · 2015-02-28SegmentFinancial Services2,233,000USD0000795266-16-000117
Q1 2015Quarterly · 2015-02-28SegmentHomebuilding577,888,000USD0000795266-16-000117
FY 2014Yearly · 2014-11-30SegmentFinancial Services11,306,000USD0000795266-16-000089
FY 2014Yearly · 2014-11-30SegmentHomebuilding2,389,643,000USD0000795266-16-000089
FY 2013Yearly · 2013-11-30SegmentFinancial Services12,152,000USD0000795266-16-000089
FY 2013Yearly · 2013-11-30SegmentHomebuilding2,084,978,000USD0000795266-16-000089
FY 2012Yearly · 2012-11-30SegmentFinancial Services11,683,000USD0000795266-15-000006
FY 2012Yearly · 2012-11-30SegmentHomebuilding1,548,432,000USD0000795266-15-000006
FY 2011Yearly · 2011-11-30SegmentFinancial Services10,304,000USD0000795266-14-000007
FY 2011Yearly · 2011-11-30SegmentHomebuilding1,305,562,000USD0000795266-14-000007

Periods follow company fiscal calendars. Quarterly, annual and year-to-date amounts are shown separately. Missing values are not zero. Data may be delayed, incomplete or corrected; follow the disclosure links to verify figures.