Sterling Infrastructure Operating Cash Flow Per Share 2010-2025 | STRL
Current and historical operating cash flow per share for Sterling Infrastructure (STRL) from 2010 to 2025. Operating cash flow per share can be defined as a measure of financial performance calculated as operating cash flow, expressed on a per share basis Sterling Infrastructure operating cash flow per share for the three months ending June 30, 2025 was $5.54.
Sector |
Industry |
Market Cap |
Revenue |
Construction |
Engineering - Research & Development Services |
$8.615B |
$2.116B |
Sterling Infrastructure Inc. operates through subsidiaries within segments specializing in E-Infrastructure, Building and Transportation Solutions principally in the United States, primarily across the Southern, Northeastern, Mid-Atlantic and the Rocky Mountain States, California and Hawaii. E-Infrastructure Solutions projects develop advanced, large-scale site development systems and services for data centers, e-commerce distribution centers, warehousing, transportation, energy and more. Building Solutions projects include residential and commercial concrete foundations for single-family and multi-family homes, parking structures, elevated slabs and other concrete work. Transportation Solutions includes infrastructure and rehabilitation projects for highways, roads, bridges, airports, ports, light rail, water, wastewater and storm drainage systems. Sterling Infrastructure Inc., formerly known as Sterling Construction Company Inc., is based in THE WOODLANDS, Texas.
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