Toll Brothers (TOL) stock price, revenue, and financials

Toll Brothers market cap is $8.6 b, and annual revenue was $7.08 b in FY 2020

$8.6 B

TOL Mkt cap, 31-Dec-2021

$1.8 B

Toll Brothers Revenue Q2, 2021
Toll Brothers Gross profit (Q2, 2021)401.8 M
Toll Brothers Gross profit margin (Q2, 2021), %21.9%
Toll Brothers Cash, 30-Apr-2021715 M
Toll Brothers EV10.3 B
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Toll Brothers Revenue

Toll Brothers revenue was $7.08 b in FY, 2020 which is a 2% year over year decrease from the previous period.

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Toll Brothers Revenue Breakdown

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Toll Brothers revenue breakdown by business segment: 96.3% from Traditional Home Building and 3.7% from Other

Toll Brothers Income Statement

Annual

USDFY, 2018FY, 2019FY, 2020

Revenue

7.1b7.2b7.1b

Revenue growth, %

1%(2%)

Cost of goods sold

5.7b5.8b5.7b

Gross profit

1.5b1.4b1.4b

Gross profit Margin, %

21%20%20%

General and administrative expense

684.0m734.5m867.4m

Operating expense total

684.0m734.5m867.4m

EBIT

786.2m680.8m550.3m

EBIT margin, %

11%9%8%

Investment income

85.2m24.9m948.0k

Pre tax profit

933.9m787.2m586.9m

Income tax expense

185.8m197.2m140.3m

Net Income

748.2m590.0m446.6m

EPS

4.94.03.4

Toll Brothers Balance Sheet

Annual

USDFY, 2018FY, 2019FY, 2020

Cash

1.2b1.3b1.4b

Inventories

7.6b7.9b7.7b

PP&E

193.3m273.4m316.1m

Total Assets

10.2b10.8b11.1b

Accounts Payable

362.1m348.6m411.4m

Long-term debt

3.7b3.9b4.0b

Total Debt

3.7b3.9b4.0b

Total Liabilities

5.5b5.7b6.1b

Common Stock

1.8m1.5m1.5m

Additional Paid-in Capital

727.1m726.9m717.3m

Retained Earnings

5.2b4.8b5.2b

Total Equity

4.8b5.1b4.9b

Debt to Equity Ratio

0.8 x0.8 x0.8 x

Debt to Assets Ratio

0.4 x0.4 x0.4 x

Financial Leverage

2.1 x2.1 x2.2 x

Toll Brothers Cash Flow

Annual

USDFY, 2018FY, 2019FY, 2020

Net Income

748.2m590.0m446.6m

Depreciation and Amortization

25.3m72.1m68.9m

Accounts Payable

57.9m(64.5m)71.8m

Cash From Operating Activities

602.4m437.7m1.0b

Purchases of PP&E

(28.2m)(87.0m)(109.6m)

Cash From Investing Activities

81.3m(75.9m)(177.8m)

Short-term Borrowings

(2.7b)(2.5b)(4.1b)

Long-term Borrowings

(3.5m)(606.2m)

Dividends Paid

(61.7m)(63.6m)(56.6m)

Cash From Financing Activities

(214.3m)(258.5m)(753.3m)

Net Change in Cash

469.4m103.2m77.0m

Toll Brothers Ratios

USDFY, 2018

Revenue/Employee

1.5m

Debt/Equity

0.8 x

Debt/Assets

0.4 x

Financial Leverage

2.1 x

Toll Brothers Operating Metrics

Toll Brothers's Backlog was reported to be $7.5b in Q1, 2021.
FY, 2018Q1, 2019Q2, 2019Q3, 2019FY, 2019Q1, 2020Q2, 2020Q3, 2020FY, 2020Q1, 2021

Backlog

$5.2 b$5.37 b$5.66 b$5.84 b$5.26 b$5.45 b$5.49 b$6.09 b$6.37 b$7.47 b

Office Space Leased, sq. ft.

200 k200 k163 k

Manufacturing Facilities Owned Space, sq. ft.

509 k509 k375 k

Manufacturing Facilities Leased Space, sq. ft.

56 k56 k94 k

Manufacturing, Warehouse and Office Facility, sq. ft.

34 k34 k34 k

Operating Communities

372383403

Communities Sold

315333317

Homes Approved

48.56 k47.65 k52.51 k

Homes Closed

23.67 k23.89 k25.64 k

Homes Under Contract but Not Closed

6.11 k5.95 k6.47 k6.84 k6.27 k6.46 k6.43 k7.24 k7.79 k8.89 k

Home Sites Available

18.78 k17.49 k19.08 k

Controlled Home Sites

53.4 k59.2 k63.2 k

Planned Home Sites

28.54 k35.47 k36.32 k

Planned Communities

266332375

Toll Brothers Human Capital

Gender

Mar, 2021FY, 2020
Male (Board), percent80%
Female (Board), percent20%
Male (Manager and Above), percent36.6%
Female (Manager and Above), percent15.7%
Male, percent26.5%
Female, percent21.1%