KBR, INC. (KBR)

41.38 -0.17 (-0.41%)

As of 2026-03-03 13:35:34 EST

KBR, Inc. (formerly Kellogg Brown & Root) is a U.S. based company operating in fields of science, technology and engineering. KBR works in various markets including aerospace, defense, industrial, intelligence, and energy. The company supports various NASA programs, international partner space agencies, and commercial partners.

Traded asNYSE: KBR
ISINUS48242W1062
CIK0001357615
LEI254900OFQDXZRKRCV808
EIN204536774
SectorEngineering
IndustryHeavy Construction Other Than Bldg Const - Contractors
CEOStuart Bradie
Employees38,000
Fiscal Year End0102
Address601 JEFFERSON STREET, HOUSTON, TX, 77002
Phone(713) 753-2000
Websitehttps://www.kbr.com/
Stock Quotes
trading_symbolregistrant_nametimepricechangepercentage_change
KBRKBR, INC.2026-03-03 13:35:3441.38-0.17-0.41
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Company Information
trading_symbolcentral_index_keyregistrant_nameisin_numberlei_numberein_numberexchangesic_codesic_descriptionfiscal_year_endstate_of_incorporationaddress_streetaddress_cityaddress_stateaddress_zip_codeaddress_countryaddress_country_codephone_numbermailing_addressbusiness_addressformer_nameindustryfounding_datechief_executive_officernumber_of_employeeswebsitemarket_capshares_issuedshares_outstandingdescriptionupdate_time
KBR0001357615KBR, INC.US48242W1062254900OFQDXZRKRCV808204536774NYSE1600Heavy Construction Other Than Bldg Const - Contractors0102DE601 JEFFERSON STREETHOUSTONTX77002UNITED STATESUS(713) 753-2000601 JEFFERSON STREET, HOUSTON, TX, 77002601 JEFFERSON STREET, HOUSTON, TX, 77002Engineering1901Stuart Bradie38,000https://www.kbr.com/8,500,000,000182,840,316126,989,628KBR, Inc. (formerly Kellogg Brown & Root) is a U.S. based company operating in fields of science, technology and engineering. KBR works in various markets including aerospace, defense, industrial, intelligence, and energy. The company supports various NASA programs, international partner space agencies, and commercial partners.2026-02-26 16:39:51
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KBR Stock Price (End-of-Day)
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KBR Stock Price (1-Minute)
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Market Cap
Fiscal YearMarket CapChange In Market CapPercentage Change In Market CapShares OutstandingChange In Shares OutstandingPercentage Change In Shares Outstanding
20256,100,000,000-2,400,000,000-28.2353126,466,139-5,975,534-4.5118
20248,500,000,000-200,000,000-2.2989132,441,673-2,629,868-1.947
20238,700,000,0002,000,000,00029.8507135,071,541-1,500,348-1.0986
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Executive Compensation
Executive NameExecutive PositionFiscal YearSalaryBonusStock AwardsIncentive Plan CompensationOther CompensationTotal Compensation
W. Byron Bright, Jr.President2024738,088819,0041,553,11654,0893,165,224
J. Jay IbrahimPresident2024701,832756,0211,464,32952,1662,975,342
Stuart J. B. BradieCEO, President20241,284,6984,819,5486,267,669181,18012,556,945
Mark W. SoppEVP, CFO2024768,4581,134,0321,721,79841,9053,667,324
Sonia GalindoEVP, Corporate Secretary, General Counsel2024672,670693,0391,362,34853,5232,781,866
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Employee Count
Fiscal YearEmployee Count
202636,000
202538,000
202334,000
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Income Statements
Fiscal Year202520242023
Revenue7,786,000,0007,742,000,0006,956,000,000
Cost Of Revenue6,636,000,0006,639,000,0005,979,000,000
Gross Profit1,150,000,0001,103,000,000977,000,000
Research And Development Expenses
General And Administrative Expenses578,000,000544,000,000488,000,000
Operating Expenses
Operating Income778,000,000662,000,000448,000,000
Net Income415,000,000375,000,000-265,000,000
Earnings Per Share Basic3.212.79-1.96
Earnings Per Share Diluted3.212.79-1.96
Weighted Average Shares Outstanding Basic129,000,000134,000,000135,000,000
Weighted Average Shares Outstanding Diluted129,000,000134,000,000135,000,000
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Balance Sheet Statements
Fiscal Year202520242023
Cash And Cash Equivalents500,000,000350,000,000304,000,000
Marketable Securities Current
Accounts Receivable
Inventories
Non Trade Receivables
Other Assets Current166,000,000179,000,000189,000,000
Total Assets Current2,051,000,0001,873,000,0001,651,000,000
Marketable Securities Non Current
Property Plant And Equipment
Other Assets Non Current322,000,000422,000,000365,000,000
Total Assets Non Current1,475,000,0001,473,000,0001,662,000,000
Total Assets6,584,000,0006,663,000,0005,565,000,000
Accounts Payable712,000,000777,000,000593,000,000
Deferred Revenue331,000,000336,000,000359,000,000
Short Term Debt49,000,00036,000,00031,000,000
Other Liabilities Current235,000,000280,000,000249,000,000
Total Liabilities Current1,688,000,0001,782,000,0001,572,000,000
Long Term Debt2,596,000,0002,569,000,0001,832,000,000
Other Liabilities Non Current279,000,000313,000,000290,000,000
Total Liabilities Non Current1,874,000,0001,628,000,0001,898,000,000
Total Liabilities5,072,000,0005,196,000,0004,171,000,000
Common Stock000
Retained Earnings1,697,000,0001,367,000,0001,072,000,000
Accumulated Other Comprehensive Income-928,000,000-946,000,000-915,000,000
Total Shareholders Equity1,503,000,0001,453,000,0001,383,000,000
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Cash Flow Statements
Fiscal Year202520242023
Depreciation And Amortization169,000,000156,000,000141,000,000
Share Based Compensation Expense21,000,00022,000,00020,000,000
Other Non Cash Income Expense1,000,000-41,000,000-46,000,000
Change In Accounts Receivable2,000,0001,000,00032,000,000
Change In Inventories
Change In Non Trade Receivables
Change In Other Assets-79,000,00060,000,00072,000,000
Change In Accounts Payable-70,000,000148,000,000-49,000,000
Change In Other Liabilities
Cash From Operating Activities557,000,000462,000,000331,000,000
Purchases Of Marketable Securities10,000,0005,000,00039,000,000
Sales Of Marketable Securities
Acquisition Of Property Plant And Equipment42,000,00077,000,00080,000,000
Acquisition Of Business14,000,000738,000,0000
Other Investing Activities3,000,000-1,000,00011,000,000
Cash From Investing Activities-12,000,000-776,000,000-70,000,000
Tax Withholding For Share Based Compensation
Payments Of Dividends85,000,00080,000,00073,000,000
Issuance Of Common Stock5,000,000
Repurchase Of Common Stock329,000,000218,000,000138,000,000
Issuance Of Long Term Debt555,000,000393,000,000785,000,000
Repayment Of Long Term Debt505,000,00098,000,000340,000,000
Other Financing Activities-4,000,000-13,000,000-9,000,000
Cash From Financing Activities-403,000,000374,000,000-359,000,000
Change In Cash155,000,00046,000,000-85,000,000
Cash At End Of Period500,000,000350,000,000304,000,000
Income Taxes Paid83,000,00082,000,00052,000,000
Interest Paid141,000,000124,000,000102,000,000
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Key Metrics
Fiscal Year202520242023
Earnings Per Share3.212.79-1.96
Price To Earnings Ratio12.619921.1505-28.2704
Earnings Growth Rate15.0538-242.3469-244.1176
Price Earnings To Growth Ratio0.8383-0.08730.1158
Book Value Per Share11.720910.947810.3259
Price To Book Ratio3.45625.39015.3661
Ebitda825,000,000757,000,00043,000,000
Enterprise Value7,370,790,00010,162,340,0009,039,350,000
Dividend Yield0.01630.01010.0098
Dividend Payout Ratio0.20480.2133-0.2755
Debt To Equity Ratio1.75981.79281.3471
Capital Expenditures
Free Cash Flow
Return On Equity0.27610.2581-0.1916
One Year Beta0.78190.92380.5107
Three Year Beta0.74870.68110.7222
Five Year Beta0.75431.18091.2192
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Insider Transactions
Insider NameRelationship To IssuerTransaction DateAmount Of SecuritiesAcquired Or DisposedSecurities Owned Following Transaction
SOPP MARK WEVP, Strategic Transactions2026-02-265,171A192,445
SOPP MARK WEVP, Strategic Transactions2026-02-262,035D190,410
Myles JenniferEVP, Chief People Officer2026-02-262,747A49,410
Myles JenniferEVP, Chief People Officer2026-02-261,292D48,118
Ibrahim JalalPres., Sustainable Tech Solns2026-02-263,232A120,994
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Institutional Holdings
Investor NamePeriod Of ReportMarket ValueAmount Of SecuritiesPrice Per Security
Caitong International Asset Management Co., Ltd2025-12-3177,2241,92140.1999
Anchor Investment Management, LLC2025-12-3140,2001,00040.2
Bell Investment Advisors, Inc2025-12-316441640.25
Pacer Advisors, Inc.2025-12-31610,71815,19240.2
Sunbelt Securities, Inc.2025-12-31281740.1429
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Mutual Fund Holdings
Registrant NamePeriod Of ReportFund NameFund SymbolAmount Of UnitsValue In UsdPercentage Value Compared To Assets
PIMCO Equity Series2025-12-31PIMCO RAFI Dynamic Multi-Factor U.S. Equity ETFMFUS43717,567.40.0083
RYDEX SERIES FUNDS2025-12-31Class CRYDCX34914,029.80.1029
RYDEX SERIES FUNDS2025-12-31Class ARYAHX34914,029.80.1029
RYDEX SERIES FUNDS2025-12-31Class HRYMDX34914,029.80.1029
RYDEX SERIES FUNDS2025-12-31Class CRYMMX55722,391.40.3838
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