Myr Group Inc. (NASDAQ: MYRG)

Sector: Industrials Industry: Engineering & Construction CIK: 0000700923
P/B 5.56
P/E 35.13
P/S 0.98
Market Cap 3.44 Bn
ROIC (Qtr) 14.86
Div Yield % 0.00
Rev 1y % (Qtr) 7.02
Total Debt (Qtr) 118.97 Mn
Debt/Equity (Qtr) 0.19

About

Myr Group Inc., commonly referred to as MYRG, operates in the construction industry, specifically providing specialty electrical services for the electric utility infrastructure, commercial, and industrial markets. The company was established in 1995 and is headquartered in Thornton, Colorado. Myr Group Inc. generates revenue through its two primary segments: Transmission and Distribution (T&D) and Commercial and Industrial (C&I). The T&D segment offers a broad range of services on electric transmission and distribution networks and substation...

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Analysis

Pros

  • Strong operating cash flow of 232.86M provides robust 1.96x coverage of total debt 118.97M, indicating excellent debt servicing capability and financial flexibility.
  • Healthy cash reserves of 76.21M provide 4.12x coverage of short-term debt 18.52M, demonstrating strong liquidity position and minimal refinancing risk.
  • Strong tangible asset base of 1.46B provides 12.25x coverage of total debt 118.97M, indicating robust asset backing and low credit risk.
  • Operating cash flow of 232.86M provides strong 19.18x coverage of stock compensation 12.14M, indicating sustainable incentive practices.
  • Operating cash flow of 232.86M provides exceptional 33.39x coverage of interest expenses 6.97M, showing strong debt service capability.

Cons

  • Operating cash flow of 232.86M barely covers its investment activities of (68.85M), with a coverage ratio of -3.38, indicating heavy reliance on external financing for growth which may not be sustainable in a tighter credit environment.
  • Operating cash flow of 232.86M provides insufficient coverage of deferred revenue obligations of 302.55M, which is 0.77x, raising concerns about future service delivery capabilities.
  • Operating cash flow of 232.86M barely covers operating expenses of (506000) with a -460.19 ratio, suggesting thin operational efficiency margins and limited flexibility.
  • Operating earnings of 148.87M show weak coverage of depreciation charges of 65.67M, with a 2.27 ratio indicating high capital intensity and potential reinvestment needs.
  • Free cash flow of 164.01M represents just -7.75x of debt issuance (21.17M), suggesting concerning reliance on leverage rather than internal cash generation for growth.

Peer Comparison

Companies in the Engineering & Construction
S.No. Ticker Company Market Cap P/E P/S Total Debt (Qtr)
1 PWR Quanta Services, Inc. 65.07 Bn 63.92 2.39 6.02 Bn
2 FER Ferrovial SE 48.89 Bn 14.49 5.13 -
3 FIX Comfort Systems Usa Inc 34.27 Bn 40.92 4.12 0.39 Bn
4 EME EMCOR Group, Inc. 28.31 Bn 25.04 1.74 0.42 Bn
5 MTZ Mastec Inc 16.96 Bn 51.22 1.23 2.77 Bn
6 APG APi Group Corp 16.26 Bn 104.23 2.12 3.05 Bn
7 J Jacobs Solutions Inc. 16.22 Bn 56.05 1.35 2.71 Bn
8 ACM Aecom 13.03 Bn 23.20 0.81 3.23 Bn

Industry Comparisons

Current Valuation

Metric Value Industry Percentile
EV to Assets 2.16 1.59
EV to Cash from Ops. 15.24 7.03
EV to Debt 29.82 11.96
EV to EBIT 23.83 17.03
EV to EBITDA 16.41 13.31
EV to Free Cash Flow [EV/FCF] 21.63 57.73
EV to Market Cap 1.03 1.27
EV to Revenue 1.01 1.63
Price to Book Value [P/B] 5.56 5.93
Price to Earnings [P/E] 35.13 35.53

Dividend Metrics

Metric Value Industry Percentile
Dividend Coverage Ratio 0.00 2.51
Dividend Payout Ratio % 0.00 25.81
Dividend per Basic Share 0.00 0.24
FCF Dividend Payout Ratio % 0.00 4.05
Interest Coverage 21.35 80.15

Growth Metrics

Metric Value Industry Percentile
Capex Growth (1y) % 9.60 -166.01
Cash and Equivalents Growth (1y) % 906.88 637.72
Dividend Growth (1y) % 0.00 5.87
EBIAT Growth (1y) % 140.50 92.47
EBITDA Growth (1y) % 72.21 8.04
EBIT Growth (1y) % 143.36 85.34
EBT Growth (1y) % 158.08 42.07
EPS Growth (1y) % 168.83 43.76
FCF Growth (1y) % 405.17 -20.95
Gross Profit Growth (1y) % 31.99 32.46

Liquidity Ratios

Metric Value Industry Percentile
Asset Utilization Ratio 2.14 1.14
Cash Payout Ratio 0.00 0.05
Cash Ratio 0.10 0.38
Current Ratio 1.33 1.55
Debt to Equity Ratio 0.19 0.89
Interest Cover Ratio 21.35 80.15
Times Interest Earned 21.35 80.15

Profitability

Metric Value Industry Percentile
EBITDA Margin % 6.10 0.40
EBIT Margin % 4.24 -2.31
EBT Margin % 4.04 -4.59
Gross Margin % 11.30 20.38
Net Profit Margin % 2.80 -5.96