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Installed Building Products IBP Balance Sheet Statement

FY'25FY'24FY'23FY'22
$321.9M-1.7%$327.6M-15.2%$386.5M+68.3%$229.6M-31.2%
$444.1M+2.4%$433.9M+2.5%$423.3M+6.6%$397.2M+27.0%
$203M+4.3%$194.6M+19.5%$162.8M-7.8%$176.6M+23.5%
$73.6M-25.5%$98.8M+1.4%$97.4M+20.2%$81M+15.7%
$2.9M-87.0%$22.3M-10.4%$24.9M-35.6%$38.67M+161%
$1.04B-1.2%$1.05B-1.4%$1.07B+21.0%$884.4M+2.9%
$183.3M+4.9%$174.8M+27.4%$137.2M+15.5%$118.8M+12.1%
$352.7M+13.2%$311.6M+15.2%$270.4M+19.7%$225.9M+24.0%
5.6%-9,559,999,994%9,560,000,000%+1,750,000,000%7,810,000,000%+190,000,000%7,620,000,000%+632,900,000%
$450.4M+4.1%$432.6M+8.5%$398.8M+6.7%$373.6M+15.8%
$261.5M-3.3%$270.5M+0.7%$268.7M-5.2%$283.4M+7.2%
$31.5M0.0%$31.5M+10.5%$28.5M-32.9%$42.5M+36.5%
$2.07B+0.4%$2.06B+4.0%$1.98B+11.4%$1.78B+7.6%
$119M-18.8%$146.6M-7.6%$158.6M+6.3%$149.2M+12.4%
$69.5M+4.7%$66.4M+11.4%$59.6M+15.5%$51.6M+1.2%
$36.6M+13.0%$32.4M+0.6%$32.2M+3.9%$31M+0.5%
$37M+7.9%$34.3M+21.2%$28.3M+8.4%$26.1M+12.4%
$2.7M-3.6%$2.8M+3.7%$2.7M+8.0%$2.5M+43.1%
$20.5M+4.1%$19.7M+3.7%$19M+0.6%$18.88M+33.4%
$12.2M+32.6%$9.2M+1.1%$9.1M+21.7%$7.48M+27.0%
$344.2M-4.1%$359M+3.6%$346.4M+5.6%$328.1M+6.7%
$850M+0.9%$842.4M+0.9%$835.1M+0.6%$830.2M-0.2%
$61.4M+0.7%$61M+22.2%$49.9M+0.2%$49.8M+8.1%
$6.7M-18.3%$8.2M-11.8%$9.3M+4.4%$8.91M+76.5%
$98.4M+3.3%$95.3M+21.9%$78.2M+3.0%$75.93M+9.6%
$4M-25.9%$5.4M-18.2%$6.6M+3.1%$6.4M+94.1%
$73.8M+22.0%$60.5M+24.7%$48.5M+14.1%$42.5M+0.2%
$1.36B+0.3%$1.35B+338,550%$400K-78.5%$1.86M-85.8%
$0$0$0$0
$300K0.0%$300K0.0%$300K0.0%$300K-9.9%
$284.1M+8.7%$261.3M+6.8%$244.7M+6.9%$228.8M+8.2%
$1.04B+20.6%$865.5M+24.7%$693.8M+35.2%$513.1M+45.5%
$22.1M-36.9%$35M+3.9%$33.7M-17.0%$40.6M+17,985%
$640M+40.1%$456.8M+51.2%$302.2M+4.5%$289.3M+96.5%
$709.9M+0.7%$705.3M+5.2%$670.3M+35.8%$493.5M+18.4%
$2.07B+0.4%$2.06B+4.0%$1.98B+11.4%$1.78B+7.6%
$372.2M-1.2%$376.9M-4.2%$393.3M+1.2%$388.57M+24.5%
$13.9M+29.9%$10.7M-4.5%$11.2M+17.3%$9.55M+9.5%
$13.9M+29.9%$10.7M-4.5%$11.2M+17.3%$9.55M+9.5%
$31.5M0.0%$31.5M+10.5%$28.5M-32.9%$42.5M+36.5%
$614.2M+5.5%$582.1M+8.0%$539.1M+5.8%$509.38M+14.1%
$98.7M+3.2%$95.6M+22.4%$78.1M+2.5%$76.2M+9.1%
$261.5M-3.3%$270.5M+0.7%$268.7M-5.2%$283.4M+7.2%
$4.8M+9.1%$4.4M+46.7%$3M+29.4%$2.32M+8.5%
$98.7M+3.2%$95.6M+22.4%$78.1M+2.5%$76.2M+9.1%
$31.5M0.0%$31.5M+10.5%$28.5M-32.9%$42.5M+36.5%
$183.3M+4.9%$174.8M+27.4%$137.2M+15.5%$118.8M+12.1%
$372.2M-1.2%$376.9M-4.2%$393.3M+1.2%$388.57M+24.5%
$98.7M+3.2%$95.6M+22.4%$78.1M+2.5%$76.2M+9.1%
$31.5M0.0%$31.5M+10.5%$28.5M-32.9%$42.5M+36.5%
$10.4M+13.0%$9.2M-3.2%$9.5M-4.5%$9.95M+23.6%
$69.5M+4.7%$66.4M+11.4%$59.6M+15.5%$51.6M+1.2%
$69.5M+4.7%$66.4M+11.4%$59.6M+15.5%$51.6M+1.2%
$79.4M+3.8%$76.5M+17.7%$65M-4.0%$67.7M-0.6%
$30.9M+11.6%$27.7M+4.5%$26.5M+11.9%$23.68M+10.4%
$0-100%$600K+50.0%$400K-78.5%$1.86M-83.4%
$991.7M+1.4%$978.3M+2.5%$954.8M+0.9%$946.04M+0.9%
$0.010.0%$0.010.0%$0.010.0%$0.010.0%
33.8M+0.4%33.7M+0.4%33.6M+0.5%33.4M+0.5%
5M0.0%5M0.0%5M0.0%5M0.0%
0000
0000
$284.1M+8.7%$261.3M+6.8%$244.7M+6.9%$228.8M+8.2%
$0$0$0$0
$0.010.0%$0.010.0%$0.010.0%$0.010.0%
$0-100%$600K+50.0%$400K-78.5%$1.86M-83.4%
$43.3M+35.3%$32M+26.0%$25.4M+1.6%$25.01M+14.0%
$13.9M+29.9%$10.7M-4.5%$11.2M+17.3%$9.55M+9.5%
$13.9M+29.9%$10.7M-4.5%$11.2M+17.3%$9.55M+9.5%
$355.5M+0.7%$352.9M-5.1%$371.7M+1.0%$368.01M+28.7%
$10.6M+15.2%$9.2M-8.9%$10.1M+13.9%$8.87M+37.7%
$0-100%$600K+50.0%$400K-78.5%$1.86M-83.4%
$0.010.0%$0.010.0%$0.010.0%$0.010.0%
$100M0.0%$100M0.0%$100M0.0%$100M0.0%
$33.84M+0.4%$33.71M+0.4%$33.59M+0.5%$33.43M+0.5%
$26.98M-2.8%$27.76M-2.1%$28.37M+0.2%$28.31M-4.7%
$27.3M-17.8%$33.2M+4.7%$31.7M+7.7%$29.43M-9.9%
$20.5M+4.1%$19.7M+3.7%$19M+0.6%$18.88M+33.4%
$16.7M-30.4%$24M+11.1%$21.6M+5.1%$20.56M-21.6%
$27.3M-17.8%$33.2M+4.7%$31.7M+7.7%$29.43M-9.9%
$213.7M-14.0%$248.4M-7.6%$268.9M-1.8%$273.79M+32.9%
$24.7M-6.1%$26.3M+7.3%$24.5M-13.7%$28.4M+489%
$158.5M+23.3%$128.5M+3.3%$124.4M+8.4%$114.78M+8.1%
$2.7M-3.6%$2.8M+3.7%$2.7M+8.0%$2.5M+43.1%
$6.7M-15.2%$7.9M-13.2%$9.1M+1.9%$8.93M+69.5%
$352.7M+13.2%$311.6M+15.2%$270.4M+19.7%$225.9M+24.0%
$614.2M+5.5%$582.1M+8.0%$539.1M+5.8%$509.38M+14.1%
$520.4M+3.5%$502.6M+7.2%$468.8M+5.7%$443.56M+13.0%
$105.4M+1.8%$103.5M+18.7%$87.2M+2.5%$85.1M+13.3%
$105.1M+1.5%$103.5M+18.3%$87.5M+3.1%$84.84M+14.1%
$278.8M-6.0%$296.7M-14.0%$344.8M+79.7%$191.9M-25.6%
$0.06-2.3%$0.06+8.6%$0.05+18.6%$0.04+30.5%
$0.010.0%$0.010.0%$0.010.0%$0.010.0%
$5M0.0%$5M0.0%$5M0.0%$5M0.0%
$0$0$0$0
$0$0$0$0
$6.86M+15.2%$5.96M+14.1%$5.22M+1.9%$5.12M+43.7%
$20.5M+10.8%$18.5M+8.8%$17M+23.8%$13.73M+2.5%
7.8%0.0%7.7%+0.8%6.9%+1.1%5.8%+0.8%
$0.08+0.5%$0.08+12.0%$0.07+20.0%$0.06+16.1%

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Questions, answered.

Can Installed Building Products cover its short-term obligations?
Its current ratio is 3.35 — current assets exceed current liabilities.
Where does Installed Building Products's balance sheet data come from?
Every line is extracted from Installed Building Products's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.