SLND

— Fundamental Stock Analysis and Report Card

Industrials : Engineering & Construction

Located in Grapevine, TX, US. Southland Holdings, Inc. engages in specialty infrastructure construction business in North America. The company operates through Civil and Transportation segments. The Civil segment designs and constructs water pipelines, pump stations, lift stations, water and wastewater treatment plants, concrete and structural steel, outfall, and tunneling. The Transportation segment designs and constructs bridges, roadways, marine, dredging, ship terminals and piers, and specialty structures and facilities, as well as convention centers, sports stadiums, marine facilities, and ferris wheels. The company was founded in 1900 and is headquartered in Grapevine, Texas.

Growth

Revenue, earnings and profitability.

Strong revenue growth and earnings can attract investors, driving the stock price up. Profitability indicates the company's efficiency and sustainability, which impacts investor confidence. Poor performance in these areas can lead to a decrease in stock price.

Revenue History

Earnings History

Margins

Gross Margin TTM
-25.74%
EBITDA Margin TTM
-30.89%
Net Margin TTM
-46.85%
Earnings Per Share TTM
-0.69
Statements

Income & Cash Flow analysis.

An income statement shows what a company earned and spent over a period — revenue at the top, costs and expenses in between, and net income at the bottom. A cash flow statement tracks the actual cash moving in and out, across operations, investing, and financing. Read together, they show whether reported earnings are backed by real cash.

Southland Holdings, Inc.
Select Period:
Q1 2026
Total ($)
Q1 2026
Margin (%)
Revenue
172.4m
-67.1m
-28.0%
Gross Income
-4.8m
-26.2m
-122.1%
-3%
-11.7pp
-130.8%
EBITDA
-13.8m
-26.1m
-212.5%
-8%
-13.2pp
-256.2%
Operating Income
-19.7m
-24.7m
-492.8%
-11%
-13.5pp
-645.6%
Net Income
-28.4m
-23.8m
-522.8%
-16%
-14.5pp
-765.2%
Earnings Per Share
-0.06
+0.0
+30.2%
Operating Cash Flow
-133.9m
-140.3m
-2.2k%
-63%
-66.5pp
-1.8k%
Free Cash Flow
-133.9m
-138.5m
-3.0k%
-63%
-65.4pp
-2.4k%
Research & Development
n/a
n/a
n/a
n/a
n/a
n/a