U.S. Concrete, Inc. — Cyborg Score 5/10

Mixed
Ready-mixed concrete and aggregates production

Strategic Profile

The company operates in fragmented markets with geographic advantages in high-growth regions. Its vertically integrated model—combining ready-mixed concrete production with owned aggregate reserves—provides cost advantages and supply chain resilience. Stock has appreciated significantly over the past 12 months, though current data is limited.

Cyborg Score Rationale

Strong stock performance (171.4% gain over 12 months as of April 2026) suggests operational traction, but absence of recent financial filings and conflicting M&A signals create visibility gaps. Exposure to construction cyclicality and rising input costs present structural risks.

Top Insights

  • Stock gained 171.4% over the prior 12 months as of April 2026, indicating strong market confidence in operations, though recent earnings and financial data are not publicly available.
  • Dual-segment model—ready-mixed concrete plus 20+ aggregate facilities across North America—provides vertical integration and cost leverage in material sourcing for internal and third-party sales.
  • Operations span high-growth metros (Texas, California, D.C., NYC) positioning the company to benefit from infrastructure spending and commercial construction cycles through 2026.

Named Competitors

  • Vulcan Materials — Large aggregates and ready-mixed concrete producer with national footprint
  • Martin Marietta Materials — Major aggregates, cement, and ready-mixed concrete supplier
  • Summit Materials — Integrated aggregates, cement, ready-mixed concrete and asphalt producer with national footprint

Recent Developments

  • (April 2026) Stock trading at new highs with 171.4% annual gain; market sentiment bullish despite limited public disclosures
  • (2021) Vulcan Materials announced merger agreement to acquire US Concrete for $1.294 billion; current trading status suggests deal did not close as announced

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