Dudediligence.

MYR Group Inc

MYRGNASDAQ · Water, Sewer, Pipeline, Comm & Power Line Construction
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From the filings

Figures

Revenue
$4.01Blast 12 months
Net income
$165.3Mlast 12 months
Operating cash flow
$328.0Mlast 12 months
Cash and equivalents
$137.9Mat the last balance sheet
Total debt
$9.4Mat the last balance sheet
Shares outstanding
15.6M shareson issue
Every year and quarter →