ROAD

Construction Partners, Inc.

Nasdaq · CIK 1718227

Last close91.08
Daily change+0.93 (1.03%)
10 Years gain+652.73%
Dividends TTM0
Dividend yield0.00%

Fundamental Analysis

ROAD · STANDARD

SIC 1600 · Heavy Construction Other Than Bldg Const - Contractors · Fiscal year end 0930

Screener
Fundamental
65.1
Momentum
69.5
Acceleration
70.7
Confidence
100.0
Annual Revenue9
Quarterly Revenue29
Annual CFO9
Balance SheetAvailable
RankingEligible

Score Breakdown

Growth24.9 / 25
Quality19.3 / 25
Capital Efficiency7.5 / 20
Balance Sheet3.5 / 15
Shareholder Economics5.7 / 10
Forward Indicators4.2 / 5

Signals

Gross margin expansionGross margin improved by 2.1441 percentage points.
Operating leverageOperating margin improved by 3.9016 percentage points.
FCF growthFree cash flow grew 283.8725%.
ROIC expansionROIC improved by 4.4989 percentage points.
Strong operating leverageOperating income is growing faster than revenue while operating margin expands.

Key Metrics

Revenue Growth TTM66%OK
Revenue CAGR 3Y29.28%OK
Gross Margin15.5%OK
Operating Margin8.34%OK
FCF Margin4.26%OK
FCF Growth283.87%OK
ROIC9.03%OK
Incremental Operating Margin 3Y11.47%OK
Net Debt / CFO5.22xOK
Diluted Share Growth 1Y1.08%OK
SBC / Revenue1.2%OK
SBC / FCF28.17%OK

Financial History

PeriodRevenueGross ProfitOperating IncomeCFOFCFGross MarginOp MarginFCF MarginROICShares
2025 FY Sep 30, 2025$2.81B$439.09M$224.81M$291.30M$153.37M15.61%7.99%5.45%10.46%55.37M
2025 FY Sep 30, 2024$1.82B$258.25M$111.24M$209.08M$121.15M14.16%6.1%6.64%9.46%52.57M
2025 FY Sep 30, 2023$1.56B$196.39M$81.88M$157.16M$59.35M12.56%5.24%3.8%7.88%52.26M
2024 FY Sep 30, 2022$1.30B$139.30M$35.41M$16.50M-$52.35M10.7%2.72%-4.02%4.09%51.96M
2023 FY Sep 30, 2021$910.74M$119.94M$30.10M$48.50M-$7.83M13.17%3.31%-0.86%5.2%51.77M

Formula Trace

MetricValueFormulaStatusSource
Revenue TTM$3.36Bsum latest 4 fiscal quarters RevenueOK0001628280-26-054661, 0001628280-26-006228
Revenue Growth TTM66%Revenue_TTM / Revenue_TTM_1Y_ago - 1OK0001628280-26-054661, 0001628280-26-006228
Revenue CAGR 3Y29.28%(Revenue_current / Revenue_3Y_ago)^(1/3) - 1OK0001628280-25-053871
Revenue CAGR 5Y29.05%(Revenue_current / Revenue_5Y_ago)^(1/5) - 1OK0001628280-25-053871
Gross Profit CAGR 3Y46.62%(GrossProfit_current / GrossProfit_3Y_ago)^(1/3) - 1OK0001628280-25-053871
Operating Income Growth211.82%OperatingIncome_current / OperatingIncome_prior_year - 1OK0001628280-26-054661, 0001628280-26-006228
FCF Growth283.87%FCF_current / FCF_prior_year - 1OK0001628280-26-054661, 0001628280-26-032643
Revenue Growth Accelerationn/a0.5*(Q0-Q1)+0.3*(Q1-Q2)+0.2*(Q2-Q3)INSUFFICIENT_HISTORYderived
Gross Profit Accelerationn/a0.5*(Q0-Q1)+0.3*(Q1-Q2)+0.2*(Q2-Q3)INSUFFICIENT_HISTORYderived
Operating Income Accelerationn/a0.5*(Q0-Q1)+0.3*(Q1-Q2)+0.2*(Q2-Q3)INSUFFICIENT_HISTORYderived
FCF Accelerationn/a0.5*(Q0-Q1)+0.3*(Q1-Q2)+0.2*(Q2-Q3)INSUFFICIENT_HISTORYderived
Gross Margin15.5%Gross Profit / RevenueOK0001628280-26-054661, 0001628280-26-006228
Operating Margin8.34%Operating Income / RevenueOK0001628280-26-054661, 0001628280-26-006228
FCF Margin4.26%(CFO - CapEx) / RevenueOK0001628280-26-054661, 0001628280-26-032643
ROIC9.03%NOPAT / Average Invested CapitalOK0001628280-26-054661, 0001628280-26-006228
Net Debt / CFO5.22xNet Debt / CFOOK0001628280-26-054661, 0001628280-26-032643
Current Ratio1.57xCurrent Assets / Current LiabilitiesOKderived
Cash / Debt0.05x(Cash + Short-term Investments) / Total DebtOK0001628280-26-054661