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Segment Information (Tables)
9 Months Ended
Sep. 30, 2025
Segment Reporting [Abstract]  
Schedule of performance of reportable segments
(in thousands)North
America
EuropeAsia/
Pacific
Administrative
& All Other
Total
Three months ended September 30, 2025
Net sales$483,606 $134,431 $5,476 $— $623,513 
Wood Products415,782 104,234 4,423 — 524,439 
Concrete Products66,640 30,197 963 — 97,800 
Cost of sales246,425 83,417 3,399 1,010 334,251 
Gross profit237,181 51,014 2,077 (1,010)289,262 
Research and development, and other engineering expenses18,265 2,313 215 — 20,793 
Selling expenses43,027 12,092 1,004 — 56,123 
General and administrative expenses53,267 19,835 433 11,840 85,375 
Sales to other segments *1,015 1,122 7,876 — 10,013 
Income (loss) from operations
125,179 16,119 555 (1,110)140,743 
Depreciation and amortization13,319 8,142 529 1,350 23,340 
Significant non-cash charges3,641 564 112 2,404 6,721 
Provision for income taxes30,082 2,409 357 3,545 36,393 
Business Acquisition; capital expenditures; asset acquisitions, net of cash acquired; and equity investments38,341 2,025 158 (4,130)36,394 

(in thousands)North
America
EuropeAsia/
Pacific
Administrative
& All Other
Total
Three months ended September 30, 2024
Net sales$461,356 $121,170 $4,627 $— $587,153 
Wood Products397,755 97,622 4,169 — 499,546 
Concrete Products62,709 23,548 458 — 86,715 
Cost of sales233,187 76,843 3,008 (942)312,096 
Gross profit228,169 44,327 1,619 942 275,057 
Research and development, and other engineering expenses18,230 2,038 278 — 20,546 
Selling expenses40,285 11,767 945 — 52,997 
General and administrative expenses46,403 17,492 136 11,298 75,329 
Sales to other segments *711 1,032 6,146 — 7,889 
Income (loss) from operations
123,251 12,635 260 (11,292)124,854 
Depreciation and amortization13,544 7,839 751 (476)21,658 
Significant non-cash charges3,070 672 66 1,833 5,641 
Provision for income taxes24,744 2,867 366 4,997 32,974 
Business Acquisition; capital expenditures; asset acquisitions, net of cash acquired; and equity investments100,520 3,669 2,129 193 106,511 
(in thousands) North
America
EuropeAsia/
Pacific
Administrative
& All Other
Total
Nine months ended September 30, 2025
Net sales$1,396,993 $381,688 $14,782 $— $1,793,463 
Wood Products1,204,338 303,923 12,022 — 1,520,283 
Concrete Products189,482 77,765 2,638 — 269,885 
Cost of sales703,466 242,377 9,445 2,423 957,711 
Gross profit693,527 139,311 5,337 (2,423)835,752 
Research and development, and other engineering expenses53,792 6,789 818 — 61,399 
Selling expenses126,959 37,037 2,734 — 166,730 
General and administrative expenses148,969 53,717 1,149 34,394 238,229 
Sales to other segments *2,600 5,165 24,525 — 32,290 
Income (loss) from operations
366,516 41,097 828 (25,135)383,306 
Depreciation and amortization35,472 23,984 1,635 3,528 64,619 
Significant non-cash charges11,966 1,698 281 5,771 19,716 
Provision for income taxes85,841 8,442 951 3,669 98,903 
Business Acquisition; capital expenditures; asset acquisitions, net of cash acquired; and equity investments111,340 7,915 616 7,708 127,579 
Total assets as of September 30, 20252,156,204 805,759 50,175 33,285 3,045,423 

(in thousands) North
America
EuropeAsia/
Pacific
Administrative
& All Other
Total
Nine months ended September 30, 2024
Net sales$1,331,126 $370,985 $12,599 $— $1,714,710 
Wood Products1,151,338 299,081 10,994 — 1,461,413 
Concrete Products178,383 71,904 1,605 — 251,892 
Cost of sales670,839 236,897 8,818 (3)916,551 
Gross profit660,287 134,088 3,781 798,159 
Research and development, and other engineering expenses52,845 6,320 594 — 59,759 
Selling expenses120,095 38,130 2,530 — 160,755 
General and administrative expenses133,376 53,718 1,284 31,599 219,977 
Sales to other segments *2,410 3,695 23,716 — 29,821 
Income (loss) from operations
354,212 33,037 (617)(33,496)353,136 
Depreciation and amortization34,391 23,288 1,890 1,410 60,979 
Significant non-cash charges9,643 2,172 167 4,035 16,017 
Provision for income taxes80,040 8,714 649 1,418 90,821 
Business Acquisition; capital expenditures; asset acquisitions, net of cash acquired; and equity investments183,151 10,841 3,652 6,340 203,984 
Total assets as of September 30, 20242,013,641 751,419 48,618 83,781 2,897,459 
            
*    Sales to other segments are eliminated upon consolidation.
Schedule of net sales distributed by product group he following
table illustrates the distribution of the Company’s net sales by product group as additional information for the three and nine months ended September 30, 2025 and 2024:
Three Months Ended
 September 30,
Nine Months Ended
 September 30,
(in thousands)2025202420252024
Wood construction products$524,439 $499,546 $1,520,283 $1,461,413 
Concrete construction products97,800 86,715 269,885 251,892 
Other1,274 892 3,295 1,405 
Total$623,513 $587,153 $1,793,463 $1,714,710