|MTZ Overview
MTZ

MASTEC INC

Materials • CIK: 0000015615

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Market Cap
$16.59B
P/E (TTM)
50.0x
Rev Growth (TTM)
+13.0%
Net Margin (TTM)
2.4%
FCF Yield (TTM)
2.5%
FCF Margin (TTM)
3.0%

LATEST EARNINGS

Q3 2025
4 months ago
View source
Revenue
Net Income
EPS
  • Revenue increased 22% year-over-year to $4.0 billion, a quarterly record, with double-digit growth contribution from all segments.
  • GAAP Net Income of $166.5 million and Adjusted EBITDA of $373.5 million were both quarterly records, increasing 58% and 20% year-over-year, respectively.
  • Diluted EPS of $2.04 and Adjusted Diluted EPS of $2.48 increased 69% and 48% year-over-year, respectively, exceeding guidance expectations.
  • 18-month backlog reached a record $16.8 billion, up 21% year-over-year, led by a 124% increase in Pipeline Infrastructure.

Cash Flow Health

Free Cash Flow7/8 positive
TTM$417M
Q3 '25
$20M+135%
Q2 '25
$-58M-287%
FCF Margin
TTM3.0%
Q3 '250.5%+131%
Sector: 4.7%Below Avg
OCF Margin4.7%
OCF/NI1.95x
CapEx Coverage2.8x
FCF Yield2.5%
FCF Growth (2Y)+37%
Cash Conversion Cycle
7 days
DSO: 38+DIO: 3DPO: 34

Capital Allocation & Returns

Accumulating Cash
Total Shareholder YieldTTM
TTM0.5%
Div Yield0.0%
+
Buyback (TTM)0.5%

Limited capital returns

Dividend & Payout Metrics
Dividend Yield (TTM)0.0%
Free Cash Flow (TTM)$416.5M
Stock Repurchases (TTM)$77.3M
Capital Return / FCF18.6%
Est. Dividends Paid (TTM)$0
Shows how management rewards shareholders

Operational Efficiency & Returns

Return on Invested CapitalTTM
14.6%
Volatile
-0.9% YoY-8269.9%
P25MedianP75
75th pctl (med: 0.1%)
DuPont BreakdownROIC = Margin × Turn × (1+D/E)
NOPAT Margin
6.0%
8Q: 38.2%
Asset Turnover
1.52x
8Q: 1.44x
Leverage (1+D/E)
1.71x
D/E: 0.71x
DuPont: 15.5%14.6% ROIC
Asset & CapEx Efficiency
Fixed Asset Turn
8.61x
8Q:8.17x
+180.2%
Invested Cap Turn
2.46x
8Q:2.24x
+66.0%
CapEx Intensity
4.1%
8Q:3.3%
CapEx/Depreciation
0.53x
Asset-based ROIC formula

QUARTERLY TRENDS

Last 8 quarters + TTM

MetricTTMQ3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023
Revenue
$13.8B
$4.0B11.9%
$3.5B24.5%
$2.8B16.3%
$3.4B4.6%
$3.3B9.8%
$3.0B10.2%
$2.7B18.1%
$3.3B
Operating Income
$1.0B
$356.7M37.8%
$258.9M78.6%
$144.9M42.8%
$253.5M92.2%
$3.3B9.8%
$3.0B10.2%
$2.7B18.1%
$3.3B
Net Income
$331.1M
$160.7M87.3%
$85.8M766.1%
$9.9M86.8%
$74.7M21.5%
$95.2M180.2%
$34.0M182.5%
$-41.2M5568.8%
$753.0K
Operating Cash Flow
$644.7M
$89.0M1475.7%
$5.6M92.8%
$78.4M83.4%
$471.7M69.8%
$277.7M5.0%
$264.4M145.4%
$107.8M78.0%
$490.7M
Free Cash Flow
$416.5M
$20.3M134.8%
$-58.2M287.2%
$31.1M92.7%
$423.3M80.8%
$234.1M0.5%
$232.9M182.9%
$82.3M81.9%
$455.1M
Total Equity
N/A

Valuation Analysis

Fair Value
Price-to-EarningsTTM
50.0x
Volatile
8Q: 148.4x-405210%
Valuation Lenses
Earnings
50.0x
vs sector
Cash Flow
39.5x
EV/FCF vs
Growth-Adj
0.2xPEG
Undervalued for growth
Quality-Adj
3.4P/E per %ROIC
ROIC: 14.6%
Shareholder Returns
Dividend
Buyback
0.5%
Total Yield
0.5%
Market Cap$16.59B
EV
Multi-angle valuation analysis with sector context

Business Quality & Moat

Overall Quality Score
56/100
Average

Composite score: Returns (40%) + Consistency (30%) + Earnings Quality (30%)

Returns on Capital

Return on Equity (ROE)Below Avg
11.3%
8Q:
Return on Invested Capital (ROIC)Top 25%
14.6%
8Q:
-8269.9%
vs Sector:0.1%

DuPont Analysis (ROIC = NOPAT Margin × Asset Turnover)

NOPAT Margin: 6.0%
Asset Turnover: 1.52x

Earnings Quality

Cash Conversion

1.95x

OCF / Net Income

FCF Consistency

Positive quarters

Competitive Moat Indicators

Pricing Power

Gross Margin12.5%

Capital Efficiency

Invested Capital Turnover2.46x

Working Capital

Cash Conversion Cycle7 days

Growth Quality & Momentum

Moderate Growth
Growth Quality Score
73/100
Growth 40%
Margins 30%
FCF 20%
Consistency 10%

Growth Rates

Revenue Growth YoY
13.0%
OpInc Growth YoY
-89.0%
EPS Growth YoY
275.0%
FCF 3Y CAGR
37.1%

Growth Quality Analysis

Efficient Growth: Free cash flow growing faster than revenue
Sustainability Index: 7.5/10 - Highly sustainable growth

Margin Quality & Sustainability

Low Quality
Profitability Cascade
Gross
12.5%
Operating
7.4%
Below Avg in sector
Net
2.4%
Margins Unknown
Earnings Quality Signals
SBC / Revenue
FCF vs Net Gap
+0.6 pts
FCF: 3.0% | Net: 2.4%

Quality = stability + cash conversion + low dilution

Balance Sheet & Solvency

Adequate
Net Debt / EBITDA
Net Debt: $1.97B
Interest Coverage
Leverage Metrics
Debt-to-Equity
0.71x
Balance sheet risk & solvency analysis