0001558370-23-017056.txt : 20231031 0001558370-23-017056.hdr.sgml : 20231031 20231031065048 ACCESSION NUMBER: 0001558370-23-017056 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 14 CONFORMED PERIOD OF REPORT: 20231031 ITEM INFORMATION: Results of Operations and Financial Condition ITEM INFORMATION: Regulation FD Disclosure ITEM INFORMATION: Financial Statements and Exhibits FILED AS OF DATE: 20231031 DATE AS OF CHANGE: 20231031 FILER: COMPANY DATA: COMPANY CONFORMED NAME: TopBuild Corp CENTRAL INDEX KEY: 0001633931 STANDARD INDUSTRIAL CLASSIFICATION: CONSTRUCTION SPECIAL TRADE CONTRACTORS [1700] IRS NUMBER: 473096382 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-36870 FILM NUMBER: 231362224 BUSINESS ADDRESS: STREET 1: 475 N. WILLIAMSON BLVD. CITY: DAYTONA BEACH STATE: FL ZIP: 32114 BUSINESS PHONE: (386) 304-2200 MAIL ADDRESS: STREET 1: 475 N. WILLIAMSON BLVD. CITY: DAYTONA BEACH STATE: FL ZIP: 32114 FORMER COMPANY: FORMER CONFORMED NAME: Masco SpinCo Corp. DATE OF NAME CHANGE: 20150213 8-K 1 bld-20231031x8k.htm 8-K
0001633931false00016339312023-10-312023-10-31

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

WASHINGTON, DC 20549

FORM 8-K

CURRENT REPORT

Pursuant to Section 13 or 15(d) of the Securities Exchange Act of 1934

Date of report (Date of earliest event reported): October 31, 2023

TopBuild Corp.

(Exact name of registrant as specified in its charter)

Delaware

001-36870

47-3096382

(State or other Jurisdiction of

(Commission

(IRS Employer

Incorporation)

File Number)

Identification No.)

475 North Williamson Boulevard

Daytona Beach, Florida

32114

(Address of Principal Executive Offices)

(Zip Code)

Registrant’s telephone number, including area code: (386) 304-2200

Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions (see General Instruction A.2. below):

Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)

Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)

Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))

Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))

Securities registered pursuant to Section 12(b) of the Act:

Title of each class

Trading Symbol(s)

Name of each exchange on which registered

Common stock, par value $0.01 per share

BLD

New York Stock Exchange

Indicate by check mark whether the registrant is an emerging growth company as defined in Rule 405 of the Securities Act of 1933 (§230.405 of this chapter) or Rule 12b-2 of the Securities Exchange Act of 1934 (§240.12b-2 of this chapter).

Emerging growth company

If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act.

Item 2.02.  Results of Operations and Financial Condition.

On October 31, 2023, TopBuild Corp., a Delaware corporation (the “Company”), issued a press release announcing its financial results for the quarter ended September 30, 2023 (the “Press Release”).  The Press Release, which is furnished as Exhibit 99.1, and the information included in Item 7.01 of this Current Report on Form 8-K (this “Report”) are incorporated by reference in this Item 2.02.

The information in the Press Release and in this Item 2.02 is “furnished” and not “filed” for purposes of Section 18 of the Securities Exchange Act of 1934, as amended (the “Exchange Act”), or otherwise subject to the liabilities of that section.  Such information shall not be incorporated by reference in another filing under the Exchange Act or the Securities Act of 1933, as amended (the “Securities Act”), except to the extent such other filing specifically incorporates such information by reference.

Item 7.01.  Regulation FD Disclosure.

On October 31, 2023, the Company issued the Press Release.  The Press Release, which is furnished as Exhibit 99.1, and the information included in Item 2.02 of this Report are incorporated by reference in this Item 7.01.

The information in the Press Release and in this Item 7.01 is “furnished” and not “filed” for purposes of Section 18 of the Exchange Act or otherwise subject to the liabilities of that section.  Such information shall not be incorporated by reference in another filing under the Exchange Act or the Securities Act except to the extent such other filing specifically incorporates such information by reference.

Item 9.01.  Financial Statements and Exhibits.

(d)  Exhibits

Exhibit
Number

    

Description

99.1 

Press release issued by TopBuild Corp., dated October 31, 2023, announcing its financial results for the quarter ended September 30, 2023.

104

Cover Page Interactive Data File (formatted as Inline XBRL)

2

SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.

TOPBUILD CORP.

By:

/s/ Robert Kuhns

 

 

Name:

Robert Kuhns

 

 

Title:

Vice President and Chief Financial Officer
(Principal Financial Officer)

Dated: October 31, 2023

 

 

3

EX-99.1 2 bld-20231031xex99d1.htm EX-99.1

Exhibit 99.1

Graphic

NYSE:BLD

A leading installer and specialty distributor of insulation and related building material products to the construction industry in the United States and Canada

TopBuild Reports Third Quarter 2023 Results

1.9% increase in net sales
31.7% gross margin
17.9% operating margin, 18.5% on an adjusted basis
21.4% adjusted EBITDA margin

Third Quarter Financial Highlights

(unless otherwise indicated, comparisons are to the three months ended September 30, 2022)

3 Months Ended 9/30/23

Reported

Change

“TopBuild continues to perform well and produce solid operating results, a testament to our team’s hard work and focus on profitable growth. We are particularly pleased with the performance of our non-residential business. Both our Installation and Specialty Distribution segments reported mid-single digit volume growth related to the commercial and industrial end markets they serve.

“Our strong track record of executing on our plan can be attributed, in part, to our relentless focus on driving improvements in both productivity and operational efficiencies.

“In addition, our unique and diversified business model provides multiple avenues for growth, and we see continued opportunities in all three end markets we serve.”

ROBERT BUCK, PRESIDENT & CEO, TOPBUILD

Sales

$1,326,120

1.9%

Gross Margin

31.7%

130 bps

SG&A as % of revenue

13.8%

50 bps

Operating Profit

$237,492

6.6%

Operating Margin

17.9%

80 bps

Net Income

$167,602

9.0%

Net Income per diluted share

$5.27

10.7%

3 Months Ended 9/30/23

Adjusted

Change

Sales

$1,326,120

1.9%

Gross Margin

31.7%

130 bps

SG&A as % of revenue

13.2%

0 bps

Operating Profit

$245,932

9.7%

Operating Margin

18.5%

130 bps

Net Income

$172,507

11.4%

Net Income per diluted share

$5.43

13.1%

EBITDA

$283,690

9.4%

EBITDA Margin

21.4%

150 bps

 

 

 

NYSE:BLD

October 31, 2023

topbuild.com


Nine Month Financial Highlights

(comparisons are to the nine months ended September 30, 2022)

9 Months Ended 9/30/23

Reported

Change

Sales

$3,908,620

4.4%

Gross Margin

31.0%

130 bps

SG&A as % of revenue

13.8%

0 bps

Operating Profit

$674,025

13.5%

Operating Margin

17.2%

130 bps

Net Income

$467,870

13.5%

Net Income per diluted share

$14.74

16.7%

9 Months Ended 9/30/23

Adjusted

Change

Sales

$3,908,620

4.4%

Gross Margin

31.0%

130 bps

SG&A as % of revenue

13.4%

(20 bps)

Operating Profit

$688,224

14.6%

Operating Margin

17.6%

160 bps

Net Income

$477,551

15.1%

Net Income per diluted share

$15.04

18.3%

EBITDA

$797,520

13.4%

EBITDA Margin

20.4%

160 bps

Operating Segment Highlights ($ in 000s)

(comparisons are to the period ended September 30, 2022)

Installation

3 Months Ended 9/30/23

9 Months Ended 9/30/23

Specialty Distribution

3 Months Ended 9/30/23

9 Months Ended 9/30/23

Sales

$821,673

$2,397,818

Sales

$571,009

$1,703,871

Change

 

 

Change

 

 

Volume

-3.5%

1.4%

 

Volume

-0.2%

-2.0%

Price

3.6%

4.0%

 

Price

-1.9%

1.4%

M&A

4.8%

3.1%

 

M&A

0.0%

0.0%

Total Change

4.9%

8.6%

Total Change

-2.1%

-0.7%

Operating Margin

21.3%

20.6%

Operating Margin

15.5%

14.5%

Change

160 bps

220 bps

Change

40 bps

20 bps

Adj. Operating Margin

21.6%

20.7%

Adj. Operating Margin

15.5%

14.6%

Change

200 bps

230 bps

Change

20 bps

20 bps

Adj. EBITDA Margin

23.7%

22.9%

Adj. EBITDA Margin

18.2%

17.2%

Change

210 bps

230 bps

Change

20 bps

20 bps

NYSE:BLD

October 31, 2023

topbuild.com


3

Capital Allocation

Acquisitions

Through October 31, the Company has completed four acquisitions which are expected to contribute approximately $173 million in annual revenue. In addition, the Company announced in late July its agreement to acquire Specialty Products and Insulation (“SPI”) in an all-cash transaction valued at $960 million. This leading North American specialty distributor and custom fabricator of mechanical insulation is expected to generate annual revenue of approximately $700 million.  

2023 Outlook(1)

($ in millions)

   

“We generate significant free cash flow and acquisitions remain our number one capital allocation priority. Our seasoned M&A team continues to identify strong prospects in our residential, commercial, and industrial insulation end markets and we expect to remain active on this front.”

ROBERT BUCK, PRESIDENT & CEO, TOPBUILD

2023

    

Low

    

High

Sales

$

5,130

$

5,210

Adjusted EBITDA*

$

1,025

$

1,055

*See table for adjusted EBITDA reconciliation.

(1) This outlook reflects management’s current view of present and future market conditions and are based on assumptions such as housing starts and completions, general and administrative expenses, weighted average diluted shares outstanding and interest rates.  These targets do not include any effects related to potential acquisitions or divestitures that may occur after the date of this press release.  

Conference Call

A conference call to discuss third quarter 2023 financial results is scheduled for today, Tuesday, October 31, at 9:00 a.m. Eastern Time.  The call may be accessed by dialing (877) 407-9037.  The conference call will be webcast simultaneously on the Company’s website at www.topbuild.com. In addition, a copy of management’s formal remarks and a presentation that summarizes management’s formal remarks will be available immediately prior to the conference call on www.topbuild.com.

About TopBuild

TopBuild Corp., headquartered in Daytona Beach, Florida, is a leading installer and specialty distributor of insulation and related building material products to the construction industry in the United States and Canada. We provide insulation installation services nationwide through our Installation segment which has approximately 240 branches located across the United States. We distribute building and mechanical insulation, insulation accessories and other building product materials for the residential, commercial, and industrial end markets through our Specialty Distribution business. Our Specialty Distribution network encompasses approximately 170 branches. To learn more about TopBuild please visit our website at www.topbuild.com.

Use of Non-GAAP Financial Measures

Adjusted EBITDA, incremental EBITDA margin, adjusted EBITDA margin, the “adjusted” financial measures presented above, and figures presented on a “same branch basis” are not calculated in accordance with U.S. generally accepted accounting principles (“GAAP”).  The Company believes that these non-GAAP financial measures, which are used in managing the business, may provide users of this financial information with additional meaningful comparisons between current results and results in prior periods. We define same branch sales as sales from branches in operation for at least 12 full calendar months.  Such non-GAAP financial measures are reconciled to their closest GAAP financial measures in tables contained in this press release.  

NYSE:BLD

October 31, 2023

topbuild.com


4

Non-GAAP financial measures should be viewed in addition to, and not as an alternative for, the Company’s reported results under GAAP.  Additional information may be found in the Company’s filings with the Securities and Exchange Commission which are available on TopBuild’s website under “SEC Filings” at www.topbuild.com.

Safe Harbor Statement

This press release contains “forward-looking statements” within the meaning of the Private Securities Litigation Reform Act.  These forward-looking statements may address, among other things, our expected financial and operational results, the related assumptions underlying our expected results, and our plan to repurchase our common stock under stock repurchase transactions. These forward-looking statements can be identified by words such as “will,” “would,” “anticipate,” “expect,” “believe,” “designed,” “plan,” “may,” “project,” “estimate” or “intend,” the negative of these terms, and similar references to future periods.  These views involve risks and uncertainties that are difficult to predict and, accordingly, our actual results may differ materially from the results discussed in our forward-looking statements.  Our forward-looking statements contained herein speak only as of the date of this press release.  Factors or events that we cannot predict, including those described in the risk factors contained in our filings with the Securities and Exchange Commission, may cause our actual results to differ from those expressed in forward-looking statements.  Although TopBuild believes the expectations reflected in such forward-looking statements are based on reasonable assumptions, the Company can give no assurance that its expectations will be achieved and it undertakes no obligation to update any forward-looking statements as a result of new information, future events, or otherwise, except as required by applicable law.

Investor Relations and Media Contact

Tabitha Zane

tabitha.zane@topbuild.com
386-763-8801

(tables follow)

NYSE:BLD

October 31, 2023

topbuild.com


TopBuild Corp.

Condensed Consolidated Statements of Operations (Unaudited)

(in thousands, except share and per common share amounts)

Three Months Ended September 30, 

Nine Months Ended September 30, 

2023

2022

2023

2022

Net sales

$

1,326,120

    

$

1,300,998

    

$

3,908,620

    

$

3,744,201

Cost of sales

905,430

905,250

2,695,916

2,633,155

Gross profit

420,690

395,748

1,212,704

1,111,046

Selling, general, and administrative expense

183,198

172,874

538,679

516,997

Operating profit

237,492

222,874

674,025

594,049

Other income (expense), net:

Interest expense

(18,830)

(14,561)

(55,427)

(39,936)

Other, net

6,015

(303)

12,542

103

Other expense, net

(12,815)

(14,864)

(42,885)

(39,833)

Income before income taxes

224,677

208,010

631,140

554,216

Income tax expense

(57,075)

(54,264)

(163,270)

(142,060)

Net income

$

167,602

$

153,746

$

467,870

$

412,156

Net income per common share:

Basic

$

5.30

$

4.79

$

14.81

$

12.72

Diluted

$

5.27

$

4.76

$

14.74

12.63

 

Weighted average shares outstanding:

Basic

31,615,110

32,076,285

31,588,740

32,404,275

Diluted

31,788,812

32,279,820

31,744,856

32,643,161

NYSE:BLD

October 31, 2023

topbuild.com


TopBuild Corp.

Condensed Consolidated Statements of Comprehensive Income (Unaudited)

(in thousands)

Three Months Ended September 30, 

Nine Months Ended September 30, 

2023

2022

2023

2022

Net income

$

167,602

$

153,746

$

467,870

$

412,156

Other comprehensive (loss) income:

Foreign currency translation adjustment

(3,008)

(15,158)

3,029

(14,133)

Comprehensive income

$

164,594

$

138,588

$

470,899

$

398,023

NYSE:BLD

October 31, 2023

topbuild.com


TopBuild Corp.

Condensed Consolidated Balance Sheets and Other Financial Data (Unaudited)

(dollars in thousands)

As of

September 30, 2023

December 31, 2022

ASSETS

Current assets:

Cash and cash equivalents

$

615,612

$

240,069

Receivables, net of an allowance for credit losses of $17,880 at September 30, 2023, and $16,281 at December 31, 2022

870,890

 

836,071

Inventories, net

357,179

 

438,644

Prepaid expenses and other current assets

38,104

 

34,257

Total current assets

1,881,785

 

1,549,041

Right of use assets

209,707

 

205,892

Property and equipment, net

264,581

 

253,484

Goodwill

2,039,777

 

1,966,994

Other intangible assets, net

606,940

 

614,967

Other assets

11,300

 

16,453

Total assets

$

5,014,090

$

4,606,831

LIABILITIES

Current liabilities:

Accounts payable

$

455,840

$

487,114

Current portion of long-term debt

48,057

40,068

Accrued liabilities

183,084

 

199,370

Short-term operating lease liabilities

64,632

 

60,880

Short-term finance lease liabilities

2,057

2,207

Total current liabilities

753,670

 

789,639

Long-term debt

1,383,717

 

1,417,257

Deferred tax liabilities, net

252,419

 

251,481

Long-term portion of insurance reserves

58,343

59,783

Long-term operating lease liabilities

151,970

149,943

Long-term finance lease liabilities

4,596

6,673

Other liabilities

1,548

 

2,349

Total liabilities

2,606,263

 

2,677,125

EQUITY

2,407,827

 

1,929,706

Total liabilities and equity

$

5,014,090

$

4,606,831

As of September 30,

    

2023

2022

Other Financial Data

Receivable days

51

48

Inventory days

36

48

Accounts payable days

60

63

Receivables, net plus inventories, net less accounts payable

$

772,229

$

752,750

Receivables, net plus inventories, net less accounts payable as a percent of sales (TTM) †

14.6

%

15.5

%

Trailing 12 months sales have been adjusted for the pro forma effect of acquired branches

NYSE:BLD

October 31, 2023

topbuild.com


TopBuild Corp.
Condensed Consolidated Statements of Cash Flows (Unaudited)
(in thousands)

Nine Months Ended September 30, 

2023

2022

Cash Flows Provided by (Used in) Operating Activities:

    

    

    

Net income

$

467,870

$

412,156

Adjustments to reconcile net income to net cash provided by operating activities:

Depreciation and amortization

98,216

93,051

Share-based compensation

11,080

9,673

Loss on sale of assets

2,733

76

Amortization of debt issuance costs

2,161

2,147

Provision for bad debt expense

7,380

8,837

Loss from inventory obsolescence

3,617

5,127

Change in certain assets and liabilities:

Receivables, net

(52,482)

(152,578)

Inventories, net

82,960

(101,148)

Prepaid expenses and other current assets

(3,267)

(807)

Accounts payable

(21,361)

49,079

Accrued liabilities

(9,027)

3,469

Other, net

(1,402)

6,548

Net cash provided by operating activities

588,478

335,630

Cash Flows Provided by (Used in) Investing Activities:

Purchases of property and equipment

(48,076)

(56,044)

Acquisition of businesses, net of cash acquired

(147,614)

(20,500)

Proceeds from sale of assets

14,674

2,877

Net cash used in investing activities

(181,016)

(73,667)

Cash Flows Provided by (Used in) Financing Activities:

Repayment of long-term debt

(27,711)

(28,968)

Proceeds from revolving credit facility

70,000

Repayment of revolving credit facility

(70,000)

Taxes withheld and paid on employees' equity awards

(6,350)

(11,719)

Exercise of stock options

2,489

2,028

Repurchase of shares of common stock

(200,050)

Payment of contingent consideration

(300)

(1,674)

Net cash used in financing activities

(31,872)

(240,383)

Impact of exchange rate changes on cash

(47)

(1,975)

Net increase in cash and cash equivalents

375,543

19,605

Cash and cash equivalents - Beginning of period

 

240,069

 

139,779

Cash and cash equivalents - End of period

$

615,612

$

159,384

Supplemental disclosure of noncash activities:

Leased assets obtained in exchange for new operating lease liabilities

$

45,525

$

80,186

Accruals for property and equipment

305

395

NYSE:BLD

October 31, 2023

topbuild.com


TopBuild Corp.

Segment Data (Unaudited)

(dollars in thousands)

Three Months Ended September 30, 

Nine Months Ended September 30, 

2023

2022

Change

2023

2022

Change

Installation

Sales

$

821,673

$

783,056

4.9

%

$

2,397,818

$

2,208,717

8.6

%

Operating profit, as reported

$

175,218

$

154,236

$

494,394

$

406,835

Operating margin, as reported

21.3

%

19.7

%

20.6

%

18.4

%

Rationalization charges

1,882

(807)

1,882

(334)

Acquisition related costs

26

15

516

112

Operating profit, as adjusted

$

177,126

$

153,444

$

496,792

$

406,613

Operating margin, as adjusted

21.6

%

19.6

%

20.7

%

18.4

%

Share-based compensation

436

268

1,124

956

Depreciation and amortization

17,417

15,610

50,700

46,615

EBITDA, as adjusted

$

194,979

$

169,322

15.2

%

$

548,616

$

454,184

20.8

%

EBITDA margin, as adjusted

23.7

%

21.6

%

22.9

%

20.6

%

Specialty Distribution

Sales

$

571,009

$

583,543

(2.1)

%

$

1,703,871

$

1,715,196

(0.7)

%

Operating profit, as reported

$

88,269

$

88,364

$

247,583

$

245,534

Operating margin, as reported

15.5

%

15.1

%

14.5

%

14.3

%

Acquisition related costs

10

660

350

1,235

Operating profit, as adjusted

$

88,279

$

89,024

$

247,933

$

246,769

Operating margin, as adjusted

15.5

%

15.3

%

14.6

%

14.4

%

Share-based compensation

434

296

987

938

Depreciation and amortization

15,102

15,662

44,414

43,697

EBITDA, as adjusted

$

103,815

$

104,982

(1.1)

%

$

293,334

$

291,404

0.7

%

EBITDA margin, as adjusted

18.2

%

18.0

%

17.2

%

17.0

%

NYSE:BLD

October 31, 2023

topbuild.com


TopBuild Corp.

Adjusted EBITDA (Unaudited)

(dollars in thousands)

Three Months Ended September 30, 

Nine Months Ended September 30, 

2023

2022

Change

2023

2022

Change

Total net sales

Sales before eliminations

$

1,392,682

$

1,366,599

$

4,101,689

$

3,923,913

Intercompany eliminations

(66,562)

(65,601)

(193,069)

(179,712)

Net sales after eliminations

$

1,326,120

$

1,300,998

1.9

%

$

3,908,620

$

3,744,201

4.4

%

Operating profit, as reported - segments

$

263,487

$

242,600

$

741,977

$

652,369

General corporate expense, net

(14,494)

(8,920)

(35,280)

(28,371)

Intercompany eliminations

(11,501)

(10,806)

(32,672)

(29,949)

Operating profit, as reported

$

237,492

$

222,874

$

674,025

$

594,049

Operating margin, as reported

17.9

%

17.1

%

17.2

%

15.9

%

Rationalization charges

1,882

(807)

1,882

(334)

Acquisition related costs †

6,558

2,107

12,317

6,759

Operating profit, as adjusted

$

245,932

$

224,174

$

688,224

$

600,474

Operating margin, as adjusted

18.5

%

17.2

%

17.6

%

16.0

%

Share-based compensation

4,194

2,611

11,080

9,673

Depreciation and amortization

33,564

32,430

98,216

93,051

EBITDA, as adjusted

$

283,690

$

259,215

9.4

%

$

797,520

$

703,198

13.4

%

EBITDA margin, as adjusted

21.4

%

19.9

%

20.4

%

18.8

%

Sales change period over period

25,122

164,419

EBITDA, as adjusted, change period over period

24,475

94,322

Incremental EBITDA, as adjusted, as a percentage of change in sales

97.4

%

57.4

%

† Acquisition related costs include corporate level adjustments as well as segment operating adjustments.

NYSE:BLD

October 31, 2023

topbuild.com


TopBuild Corp.

Non-GAAP Reconciliations (Unaudited)

(in thousands, except share and per common share amounts)

Three Months Ended September 30, 

Nine Months Ended September 30, 

2023

2022

2023

2022

Gross Profit Reconciliation

Net sales

$

1,326,120

$

1,300,998

$

3,908,620

$

3,744,201

Gross profit, as reported

$

420,690

$

395,748

$

1,212,704

$

1,111,046

Acquisition related costs

-

-

-

121

Gross profit, as adjusted

$

420,690

$

395,748

$

1,212,704

$

1,111,167

Gross margin, as reported

31.7

%

30.4

%

31.0

%

29.7

%

Gross margin, as adjusted

31.7

%

30.4

%

31.0

%

29.7

%

Selling, General and Administrative Expense Reconciliation

Selling, general, and administrative expense, as reported

$

183,198

$

172,874

$

538,679

$

516,997

Rationalization charges

1,882

(807)

1,882

(334)

Acquisition related costs

6,558

2,107

12,317

6,638

Selling, general, and administrative expense, as adjusted

$

174,758

$

171,574

$

524,480

$

510,693

Operating Profit Reconciliation

Operating profit, as reported

$

237,492

$

222,874

$

674,025

$

594,049

Rationalization charges

1,882

(807)

1,882

(334)

Acquisition related costs

6,558

2,107

12,317

6,759

Operating profit, as adjusted

$

245,932

$

224,174

$

688,224

$

600,474

Operating margin, as reported

17.9

%

17.1

%

17.2

%

15.9

%

Operating margin, as adjusted

18.5

%

17.2

%

17.6

%

16.0

%

Income Per Common Share Reconciliation

Income before income taxes, as reported

$

224,677

$

208,010

$

631,140

$

554,216

Rationalization charges

1,882

(807)

1,882

(334)

Acquisition related costs

6,558

2,107

12,317

6,759

Income before income taxes, as adjusted

233,117

209,310

645,339

560,641

Tax rate at 26.0%

(60,610)

(54,421)

(167,788)

(145,767)

Income, as adjusted

$

172,507

$

154,889

$

477,551

$

414,874

Income per common share, as adjusted

$

5.43

$

4.80

$

15.04

$

12.71

Weighted average diluted common shares outstanding

31,788,812

32,279,820

31,744,856

32,643,161

NYSE:BLD

October 31, 2023

topbuild.com


TopBuild Corp.

Same Branch and Acquisition Metrics (Unaudited)

(dollars in thousands)

Three Months Ended September 30, 

Nine Months Ended September 30, 

2023

2022

2023

2022

Net sales

Same branch:

Installation

$

784,025

$

783,056

$

2,328,800

$

2,208,717

Specialty Distribution

571,009

583,543

1,703,871

1,715,196

Eliminations

(66,562)

(65,601)

(193,069)

(179,712)

Total same branch

$

1,288,472

$

1,300,998

$

3,839,602

$

3,744,201

Acquisitions (a):

Installation

$

37,648

$

-

$

69,018

$

-

Total acquisitions

37,648

-

69,018

-

Total

$

1,326,120

$

1,300,998

$

3,908,620

$

3,744,201

EBITDA, as adjusted

Same branch

$

277,497

$

259,215

$

787,212

$

703,198

Acquisitions (a)

6,193

-

10,308

-

Total

$

283,690

$

259,215

$

797,520

$

703,198

EBITDA, as adjusted, as a percentage of sales

Same branch (b)

21.5

%

20.5

%

Acquisitions (c)

16.4

%

14.9

%

Total (d)

21.4

%

19.9

%

20.4

%

18.8

%

As Adjusted Incremental EBITDA, as a percentage of change in sales

Same branch (e)

NM

88.1

%

Acquisitions (c)

16.4

%

14.9

%

Total (f)

97.4

%

57.4

%


(a) Represents current year impact of acquisitions in their first twelve months

(b) Same branch metric, as adjusted, as a percentage of same branch sales

(c) Acquired metric, as adjusted, as a percentage of acquired sales

(d) Total EBITDA, as adjusted, as a percentage of total sales

(e) Change in same branch EBITDA, as adjusted, as a percentage of change in same branch sales

(f) Change in total EBITDA, as adjusted, as a percentage of change in total sales

NM Not Meaningful

NYSE:BLD

October 31, 2023

topbuild.com


TopBuild Corp.

Reconciliation of Adjusted EBITDA to Net Income (Unaudited)

(in thousands)

Three Months Ended September 30, 

Nine Months Ended September 30, 

2023

2022

2023

2022

Net income, as reported

$

167,602

$

153,746

$

467,870

$

412,156

Adjustments to arrive at EBITDA, as adjusted:

Interest expense and other, net

12,815

14,864

42,885

39,833

Income tax expense

57,075

54,264

163,270

142,060

Depreciation and amortization

33,564

32,430

98,216

93,051

Share-based compensation

4,194

2,611

11,080

9,673

Rationalization charges

1,882

(807)

1,882

(334)

Acquisition related costs

6,558

2,107

12,317

6,759

EBITDA, as adjusted

$

283,690

$

259,215

$

797,520

$

703,198

NYSE:BLD

October 31, 2023

topbuild.com


TopBuild Corp.

Acquisition Adjusted Net Sales (Unaudited)

(in thousands)

2022

2023

Trailing Twelve Months Ended

Q4

Q1

Q2

Q3

    

September 30, 2023

Net Sales

$

1,264,543

$

1,265,238

$

1,317,262

$

1,326,120

$

5,173,163

Acquisitions proforma adjustment †

45,575

30,745

25,753

4,258

106,331

Net sales, acquisition adjusted

$

1,310,118

$

1,295,983

$

1,343,015

$

1,330,378

$

5,279,494

† Trailing 12 months sales have been adjusted for the pro forma effect of acquired branches

NYSE:BLD

October 31, 2023

topbuild.com


TopBuild Corp.

2023 Estimated Adjusted EBITDA Range (Unaudited)
(in millions)

Twelve Months Ending December 31, 2023

Low

High

Estimated net income

$

597.0

625.0

Adjustments to arrive at estimated EBITDA, as adjusted:

Interest expense and other, net

54.0

51.0

Income tax expense

210.0

219.0

Depreciation and amortization

133.0

131.0

Share-based compensation

15.0

14.0

Acquisition related costs

16.0

15.0

Estimated EBITDA, as adjusted

$

1,025.0

$

1,055.0

NYSE:BLD

October 31, 2023

topbuild.com


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Document and Entity Information
Oct. 31, 2023
Document and Entity Information [Abstract]  
Document Type 8-K
Document Period End Date Oct. 31, 2023
Entity File Number 001-36870
Entity Registrant Name TopBuild Corp
Entity Incorporation, State or Country Code DE
Entity Tax Identification Number 47-3096382
Entity Address, Address Line One 475 North Williamson Boulevard
Entity Address, State or Province FL
Entity Address, City or Town Daytona Beach
Entity Address, Postal Zip Code 32114
City Area Code 386
Local Phone Number 304-2200
Written Communications false
Soliciting Material false
Pre-commencement Tender Offer false
Pre-commencement Issuer Tender Offer false
Title of 12(b) Security Common stock, par value $0.01 per share
Trading Symbol BLD
Security Exchange Name NYSE
Entity Emerging Growth Company false
Entity Central Index Key 0001633931
Amendment Flag false
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