0000794170-24-000046.txt : 20241209 0000794170-24-000046.hdr.sgml : 20241209 20241209164708 ACCESSION NUMBER: 0000794170-24-000046 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 15 CONFORMED PERIOD OF REPORT: 20241209 ITEM INFORMATION: Results of Operations and Financial Condition ITEM INFORMATION: Financial Statements and Exhibits FILED AS OF DATE: 20241209 DATE AS OF CHANGE: 20241209 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Toll Brothers, Inc. CENTRAL INDEX KEY: 0000794170 STANDARD INDUSTRIAL CLASSIFICATION: OPERATIVE BUILDERS [1531] ORGANIZATION NAME: 05 Real Estate & Construction IRS NUMBER: 232416878 STATE OF INCORPORATION: DE FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-09186 FILM NUMBER: 241535673 BUSINESS ADDRESS: STREET 1: 1140 VIRGINIA DRIVE CITY: FORT WASHINGTON STATE: PA ZIP: 19034 BUSINESS PHONE: 2159388000 MAIL ADDRESS: STREET 1: 1140 VIRGINIA DRIVE CITY: FORT WASHINGTON STATE: PA ZIP: 19034 FORMER COMPANY: FORMER CONFORMED NAME: TOLL BROTHERS INC DATE OF NAME CHANGE: 19920703 8-K 1 tol-20241209.htm 8-K tol-20241209
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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, DC 20549
 
FORM 8-K
 
CURRENT REPORT
PURSUANT TO SECTION 13 OR 15(D) OF THE
SECURITIES EXCHANGE ACT OF 1934
Date of report (Date of earliest event reported): December 9, 2024
Toll Brothers, Inc.
(Exact Name of Registrant as Specified in Charter)
 
Delaware 001-09186 23-2416878
(State or Other Jurisdiction
of Incorporation)
 (Commission
File Number)
 (IRS Employer
Identification No.)
1140 Virginia DriveFort WashingtonPA19034
(Address of Principal Executive Offices)(Zip Code)
Registrant’s telephone number, including area code: (215938-8000
(Former Name or Former Address, if Changed Since Last Report)
Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions (see General Instruction A.2. below):
     Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)
     Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)
     Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))
     Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))
Securities registered pursuant to Section 12(b) of the Act:
Title of each classTrading Symbol(s)Name of each exchange on which registered
Common stock, par value $0.01 per shareTOLThe New York Stock Exchange
Indicate by check mark whether the registrant is an emerging growth company as defined in as defined in Rule 405 of the Securities Act of 1933 (§230.405 of this chapter) or Rule 12b-2 of the Securities Exchange Act of 1934 (§240.12b-2 of this chapter).
Emerging growth company
If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act.




ITEM 2.02. RESULTS OF OPERATIONS AND FINANCIAL CONDITION
On December 9, 2024, Toll Brothers, Inc. issued a press release which contained its results of operations for its three-month and twelve-month periods ended October 31, 2024, a copy of which is attached hereto as Exhibit 99.1, to this report.
The information hereunder shall not be deemed to be “filed” for the purposes of Section 18 of the Securities Exchange Act of 1934 (the “Exchange Act”) or otherwise subject to the liabilities of that section, nor shall it be incorporated by reference into a filing under the Securities Act of 1933, or the Exchange Act, except as shall be expressly set forth by specific reference in such a filing.
ITEM 9.01. FINANCIAL STATEMENTS AND EXHIBITS
(d). Exhibits
The following Exhibits are furnished as part of this Current Report on Form 8-K:
Exhibit
No.                            Item 


104    Cover Page Interactive Data File (embedded within the Inline XBRL document)

* Filed electronically herewith

SIGNATURES
Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.
 
  TOLL BROTHERS, INC.
Dated:December 9, 2024 By: /s/ Michael J. Grubb
  Michael J. Grubb
Senior Vice President,
Chief Accounting Officer

2
EX-99.1 2 tol-10312024x8kexh991.htm EX-99.1 Document
tollbrothers_alhbxblacka.jpg
EXHIBIT 99.1             
FOR IMMEDIATE RELEASECONTACT: Gregg Ziegler (215) 478-3820
December 9, 2024gziegler@tollbrothers.com
        
Toll Brothers Reports FY 2024 Results

FORT WASHINGTON, Pa., December 9, 2024 -- Toll Brothers, Inc. (NYSE:TOL) (TollBrothers.com), the nation’s leading builder of luxury homes, today announced results for its fourth quarter ended October 31, 2024.

FY 2024’s Fourth Quarter Financial Highlights (Compared to FY 2023s Fourth Quarter):
Net income and earnings per share were $475.4 million and $4.63 per diluted share, compared to net income of $445.5 million and $4.11 per diluted share in FY 2023’s fourth quarter.
Pre-tax income was $621.1 million, compared to $605.0 million in FY 2023’s fourth quarter.
Home sales revenues were $3.26 billion, up 10% compared to FY 2023’s fourth quarter; delivered homes were 3,431, up 25%.
Net signed contract value was $2.66 billion, up 32% compared to FY 2023’s fourth quarter; contracted homes were 2,658, up 30%.
Backlog value was $6.47 billion at fourth quarter end, down 7% compared to FY 2023’s fourth quarter; homes in backlog were 5,996, down 9%.
Home sales gross margin was 26.0%, compared to FY 2023’s fourth quarter home sales gross margin of 27.5%.
Adjusted home sales gross margin, which excludes interest and inventory write-downs, was 27.9%, compared to FY 2023’s fourth quarter adjusted home sales gross margin of 29.1%.
SG&A, as a percentage of home sales revenues, was 8.3%, compared to 8.2% in FY 2023’s fourth quarter.
Income from operations was $611.1 million.
Other income, income from unconsolidated entities, and gross margin from land sales and other was $44.5 million.
The Company repurchased approximately 1.3 million shares at an average price of $150.19 per share for a total purchase price of $200.9 million.
Full FY 2024 Financial Highlights (Compared to Full FY 2023):
Net income was $1.57 billion, and earnings per share were $15.01 diluted, compared to net income of $1.37 billion and $12.36 per share diluted in FY 2023.
Net income and earnings per share included $124.1 million and $1.19, respectively, related to the sale of a parcel of land to a commercial developer in our second quarter. Excluding this gain, net income and earnings per share were $1.45 billion and $13.82 per diluted share in FY 2024.
Pre-tax income was $2.09 billion, compared to $1.84 billion in FY 2023.
Home sales revenues were $10.56 billion, up 7% compared to FY 2023; delivered homes were 10,813, up 13%.
Net signed contract value was $10.07 billion, up 27% compared to FY 2023; contracted homes were 10,231, up 27%.
Home sales gross margin was 26.6%, compared to FY 2023’s home sales gross margin of 26.9%.
Adjusted home sales gross margin, which excludes interest and inventory write-downs, was 28.4%, compared to FY 2023’s adjusted home sales gross margin of 28.7%.
SG&A, as a percentage of home sales revenues, was 9.3%, compared to 9.2% in FY 2023.
Income from operations was $2.04 billion.
Other income, income from unconsolidated entities, and gross margin from land sales and other was $258.0 million.
The Company repurchased approximately 4.9 million shares at an average price of $127.79 per share for a total purchase price of $627.9 million.




Douglas C. Yearley, Jr., chairman and chief executive officer, stated: “I am very pleased with our fourth quarter results, which cap the strongest year ever for Toll Brothers. For the full year, we generated a record $10.6 billion of home sales revenue, earned $15.01 per diluted share and grew contracts by 27% in both units and dollars. In the fourth quarter, we delivered 3,431 homes and generated $3.3 billion in home sales revenues, up 25% in units and 10% in dollars compared to last year’s fourth quarter. Our fourth quarter adjusted gross margin was 27.9%, beating guidance by 40 basis points, and our SG&A expense was 8.3% of home sales revenues, or 30 basis points better than guidance. Our strong margin performance and better than projected home sales revenues drove earnings of $4.63 per diluted share in the quarter, up 13% compared to last year. We also signed 2,658 net contracts at an average price of $1,000,000, up 30% in units and 32% in dollars compared to last year’s fourth quarter. Our performance this year and in the fourth quarter demonstrates the power of our luxury brand, the financial strength of our buyers, and the success of our strategies of increasing our spec home production and widening our geographies, price points and product lines.
“Since the start of our fiscal 2025 six weeks ago we have seen strong demand, which is encouraging as we approach the beginning of the spring selling season in mid-January. We are well positioned with communities in over 60 markets across 24 states featuring the widest offering of luxury homes and serving the most affluent customers in our industry. Last year, we increased community count by 10% and are targeting a similar increase in fiscal 2025. We also owned or controlled approximately 74,700 lots at year end, providing sufficient land for further growth in fiscal 2026 and beyond.
“In fiscal 2024, we generated a return on beginning equity of 23.1%, driven by our record earnings and strong cash flows that allowed us to return approximately $720 million of capital to shareholders. Our healthy balance sheet, low leverage, and ample liquidity, including significant projected cash flows from operations in fiscal 2025, should allow us to continue investing in our business while returning cash to shareholders well into the future.”
First Quarter and FY 2025 Financial Guidance:
First QuarterFull Fiscal Year
Deliveries
1,900 - 2,100 units
11,200 - 11,600 units
Average Delivered Price per Home
$925,000 - $945,000
$945,000 - $965,000
Adjusted Home Sales Gross Margin26.25 %27.25 %
SG&A, as a Percentage of Home Sales Revenues12.7 %9.4% - 9.5%
Period-End Community Count410440 - 450
Other Income, Income from Unconsolidated Entities, and Gross Margin from Land Sales and Other
$33 million
$110 million
Tax Rate22.0 %25.5 %
3

Financial Highlights for the three months ended October 31, 2024 and 2023 (unaudited):
20242023
Net Income
$475.4 million, or $4.63 per share diluted
$445.5 million, or $4.11 per share diluted
Pre-Tax Income
$621.1 million
$605.0 million
Pre-Tax Inventory Impairments included in Home Sales Costs of Revenues
$24.1 million
$8.3 million
Home Sales Revenues
$3.26 billion and 3,431 units
$2.95 billion and 2,755 units
Net Signed Contracts
$2.66 billion and 2,658 units
$2.01 billion and 2,038 units
Net Signed Contracts per Community
6.5 units
5.7 units
Quarter-End Backlog
$6.47 billion and 5,996 units
$6.95 billion and 6,578 units
Average Price per Home in Backlog
$1,078,700
$1,055,800
Home Sales Gross Margin26.0 %27.5 %
Adjusted Home Sales Gross Margin27.9 %29.1 %
Interest Included in Home Sales Cost of Revenues, as a percentage of Home Sales Revenues1.2 %1.4 %
SG&A, as a percentage of Home Sales Revenues8.3 %8.2 %
Income from Operations
$611.1 million, or 18.3% of total revenues
$558.6 million, or 18.5% of total revenues
Other Income, Income from Unconsolidated Entities, and Gross Margin from Land Sales and Other
$44.5 million
$36.0 million
Pre-Tax Land and Other Impairments included in Land Sales and Other Costs of Revenues
$— million
$12.9 million
Quarterly Cancellations as a Percentage of Beginning-Quarter Backlog2.5 %3.4 %
Quarterly Cancellations as a Percentage of Signed Contracts in Quarter5.9 %10.8 %
4

Financial Highlights for the twelve months ended October 31, 2024 and 2023 (unaudited):
20242023
Net Income
$1.57 billion, or $15.01 per share diluted
$1.37 billion, or $12.36 per share diluted
Pre-Tax Income
$2.09 billion
$1.84 billion
Pre-Tax Inventory Impairments included in Home Sales Costs of Revenues
$59.4 million
$30.7 million
Home Sales Revenues
$10.56 billion and 10,813 units
$9.87 billion and 9,597 units
Net Signed Contracts
$10.07 billion and 10,231 units
$7.91 billion and 8,077 units
Home Sales Gross Margin26.6 %26.9 %
Adjusted Home Sales Gross Margin28.4 %28.7 %
Interest Included in Home Sales Cost of Revenues, as a percentage of Home Sales Revenues1.2 %1.4 %
SG&A, as a percentage of Home Sales Revenues9.3 %9.2 %
Income from Operations
$2.04 billion, or 18.8% of total revenues
$1.72 billion, or 17.3% of total revenues
Other Income, Income from Unconsolidated Entities, and Gross Margin from Land Sales and Other
$258.0 million
$93.1 million
Pre-Tax Land and Other Impairments included in Land Sales and Other Costs of Revenues
$4.4 million
$30.6 million
Additional Information:
The Company ended its FY 2024 fourth quarter with $1.30 billion in cash and cash equivalents, compared to $1.30 billion at FYE 2023 and $893.4 million at FY 2024’s third quarter end. At FY 2024 fourth quarter end, the Company also had $1.77 billion available under its $1.96 billion revolving credit facility, which is scheduled to mature in February 2028.
On October 25, 2024, the Company paid its quarterly dividend of $0.23 per share to shareholders of record at the close of business on October 11, 2024.
Stockholders’ equity at FY 2024 fourth quarter end was $7.67 billion, compared to $6.80 billion at FYE 2023.
FY 2024’s fourth quarter-end book value per share was $76.87 per share, compared to $65.49 at FYE 2023.
The Company ended its FY 2024’s fourth quarter with a debt-to-capital ratio of 27.0%, compared to 27.6% at FY 2024’s third quarter end and 29.6% at FYE 2023. The Company ended FY 2024’s fourth quarter with a net debt-to-capital ratio(1) of 15.3%, compared to 19.6% at FY 2024’s third quarter end, and 17.7% at FYE 2023.
The Company ended FY 2024’s fourth quarter with approximately 74,700 lots owned and optioned, compared to 72,700 one quarter earlier, and 70,700 one year earlier. Approximately 45% or 34,000, of these lots were owned, of which approximately 19,400 lots, including those in backlog, were substantially improved.
In the fourth quarter of FY 2024, the Company spent approximately $258.6 million on land to purchase approximately 1,910 lots.
The Company ended FY 2024’s fourth quarter with 408 selling communities, compared to 404 at FY 2024’s third quarter end and 370 at FY 2023’s fourth quarter end.
(1)    See “Reconciliation of Non-GAAP Measures” below for more information on the calculation of the Company’s net debt-to-capital ratio.

5

Toll Brothers will be broadcasting live via the Investor Relations section of its website, investors.TollBrothers.com, a conference call hosted by chairman and chief executive officer Douglas C. Yearley, Jr. at 8:30 a.m. (ET) Tuesday, December 10, 2024, to discuss these results and its outlook for the first quarter and FY 2025. To access the call, enter the Toll Brothers website, click on the Investor Relations page, and select “Events & Presentations.” Participants are encouraged to log on at least fifteen minutes prior to the start of the presentation to register and download any necessary software.
The call can be heard live with an online replay which will follow.
ABOUT TOLL BROTHERS
Toll Brothers, Inc., a Fortune 500 Company, is the nation’s leading builder of luxury homes. The Company was founded 57 years ago in 1967 and became a public company in 1986. Its common stock is listed on the New York Stock Exchange under the symbol “TOL.” The Company serves first-time, move-up, empty-nester, active-adult, and second-home buyers, as well as urban and suburban renters. Toll Brothers builds in over 60 markets in 24 states: Arizona, California, Colorado, Connecticut, Delaware, Florida, Georgia, Idaho, Indiana, Maryland, Massachusetts, Michigan, Nevada, New Jersey, New York, North Carolina, Oregon, Pennsylvania, South Carolina, Tennessee, Texas, Utah, Virginia, and Washington, as well as in the District of Columbia. The Company operates its own architectural, engineering, mortgage, title, land development, insurance, smart home technology, and landscape subsidiaries. The Company also develops master-planned and golf course communities as well as operates its own lumber distribution, house component assembly, and manufacturing operations.
In 2024, Toll Brothers marked 10 years in a row being named to the Fortune World’s Most Admired Companies™ list and the Company’s Chairman and CEO Douglas C. Yearley, Jr. was named one of 25 Top CEOs by Barron’s magazine. Toll Brothers has also been named Builder of the Year by Builder magazine and is the first two-time recipient of Builder of the Year from Professional Builder magazine. For more information visit TollBrothers.com.
Toll Brothers discloses information about its business and financial performance and other matters, and provides links to its securities filings, notices of investor events, and earnings and other news releases, on the Investor Relations section of its website (investors.TollBrothers.com).
From Fortune, ©2024 Fortune Media IP Limited. All rights reserved. Used under license.

6

FORWARD-LOOKING STATEMENTS
Information presented herein for the fourth quarter ended October 31, 2024 is subject to finalization of the Company’s regulatory filings, related financial and accounting reporting procedures and external auditor procedures.
This release contains or may contain forward-looking statements within the meaning of the Private Securities Litigation Reform Act of 1995. One can identify these statements by the fact that they do not relate to matters of a strictly historical or factual nature and generally discuss or relate to future events. These statements contain words such as “anticipate,” “estimate,” “expect,” “project,” “intend,” “plan,” “believe,” “may,” “can,” “could,” “might,” “should,” “likely,” “will,” and other words or phrases of similar meaning. Such statements may include, but are not limited to, information and statements regarding: expectations regarding inflation and interest rates; the markets in which we operate or may operate; our strategic priorities; our land acquisition, land development and capital allocation priorities; market conditions; demand for our homes; our build-to-order and spec home strategy; anticipated operating results and guidance; home deliveries; financial resources and condition; changes in revenues; changes in profitability; changes in margins; changes in accounting treatment; cost of revenues, including expected labor and material costs; selling, general, and administrative expenses; interest expense; inventory write-downs; home warranty and construction defect claims; unrecognized tax benefits; anticipated tax refunds; sales paces and prices; effects of home buyer cancellations; growth and expansion; joint ventures in which we are involved; anticipated results from our investments in unconsolidated entities; our ability to acquire or dispose of land and pursue real estate opportunities; our ability to gain approvals and open new communities; our ability to market, construct and sell homes and properties; our ability to deliver homes from backlog; our ability to secure materials and subcontractors; our ability to produce the liquidity and capital necessary to conduct normal business operations or to expand and take advantage of opportunities; and the outcome of legal proceedings, investigations, and claims.
Any or all of the forward-looking statements included in this release are not guarantees of future performance and may turn out to be inaccurate. This can occur as a result of incorrect assumptions or as a consequence of known or unknown risks and uncertainties. The major risks and uncertainties – and assumptions that are made – that affect our business and may cause actual results to differ from these forward-looking statements include, but are not limited to:
the effect of general economic conditions, including employment rates, housing starts, inflation rates, interest and mortgage rates, availability of financing for home mortgages and strength of the U.S. dollar;
market demand for our products, which is related to the strength of the various U.S. business segments and U.S. and international economic conditions;
the availability of desirable and reasonably priced land and our ability to control, purchase, hold and develop such land;
access to adequate capital on acceptable terms;
geographic concentration of our operations;
levels of competition;
the price and availability of lumber, other raw materials, home components and labor;
the effect of U.S. trade policies, including the imposition of tariffs and duties on home building products and retaliatory measures taken by other countries;
the effects of weather and the risk of loss from earthquakes, volcanoes, fires, floods, droughts, windstorms, hurricanes, pest infestations and other natural disasters, and the risk of delays, reduced consumer demand, unavailability of insurance, and shortages and price increases in labor or materials associated with such natural disasters;
risks arising from acts of war, terrorism or outbreaks of contagious diseases, such as Covid-19;
federal and state tax policies;
transportation costs;
the effect of land use, environment and other governmental laws and regulations;
legal proceedings or disputes and the adequacy of reserves;
7

risks relating to any unforeseen changes to or effects on liabilities, future capital expenditures, revenues, expenses, earnings, indebtedness, financial condition, losses and future prospects;
the effect of potential loss of key management personnel;
changes in accounting principles;
risks related to unauthorized access to our computer systems, theft of our and our homebuyers’ confidential information or other forms of cyber-attack; and
other factors described in “Risk Factors” included in our Annual Report on Form 10-K for the year ended October 31, 2023 and in subsequent filings we make with the Securities and Exchange Commission (“SEC”).
Many of the factors mentioned above or in other reports or public statements made by us will be important in determining our future performance. Consequently, actual results may differ materially from those that might be anticipated from our forward-looking statements.
Forward-looking statements speak only as of the date they are made. We undertake no obligation to publicly update any forward-looking statements, whether as a result of new information, future events, or otherwise.
For a further discussion of factors that we believe could cause actual results to differ materially from expected and historical results, see the information under the captions “Risk Factors” and “Management’s Discussion and Analysis of Financial Condition and Results of Operations” in our most recent Annual Report on Form 10-K filed with the SEC and in subsequent reports filed with the SEC. This discussion is provided as permitted by the Private Securities Litigation Reform Act of 1995, and all of our forward-looking statements are expressly qualified in their entirety by the cautionary statements contained or referenced in this section.
8


TOLL BROTHERS, INC. AND SUBSIDIARIES
CONDENSED CONSOLIDATED BALANCE SHEETS
(Amounts in thousands)

October 31,
2024
October 31,
2023
(Unaudited)
ASSETS
Cash and cash equivalents$1,303,039 $1,300,068 
Inventory9,712,925 9,057,578 
Property, construction and office equipment - net453,007 323,990 
Receivables, prepaid expenses and other assets590,611 691,256 
Mortgage loans held for sale191,242 110,555 
Customer deposits held in escrow109,691 84,530 
Investments in unconsolidated entities1,007,417 959,041 
$13,367,932 $12,527,018 
LIABILITIES AND EQUITY
Liabilities:
Loans payable$1,085,817 $1,164,224 
Senior notes1,597,102 1,596,185 
Mortgage company loan facility150,000 100,058 
Customer deposits488,690 540,718 
Accounts payable492,213 597,582 
Accrued expenses1,752,848 1,548,781 
Income taxes payable114,547 166,268 
Total liabilities5,681,217 5,713,816 
Equity:
Stockholders’ Equity
Common stock, 112,937 shares issued at October 31, 2024 and October 31, 20231,129 1,129 
Additional paid-in capital694,713 698,548 
Retained earnings8,153,356 6,675,719 
Treasury stock, at cost — 13,149 and 9,146 shares at October 31, 2024 and October 31, 2023, respectively(1,209,547)(619,150)
Accumulated other comprehensive income31,277 40,910 
Total stockholders’ equity
7,670,928 6,797,156 
Noncontrolling interest15,787 16,046 
Total equity7,686,715 6,813,202 
$13,367,932 $12,527,018 


9



TOLL BROTHERS, INC. AND SUBSIDIARIES
CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS
(Amounts in thousands, except per share data and percentages)
(Unaudited)

Three Months Ended
October 31,
Twelve Months Ended
October 31,
 2024202320242023
$%$%$%$%
Revenues:
Home sales$3,260,004 $2,951,904 $10,563,332 $9,866,026 
Land sales and other73,458 68,243 283,408 128,911 
3,333,462 3,020,147 10,846,740 9,994,937 
Cost of revenues:
Home sales2,413,680 74.0 %2,141,529 72.5 %7,753,351 73.4 %7,207,279 73.1 %
Land sales and other38,993 53.1 %78,594 115.2 %70,911 25.0 %153,457 119.0 %
2,452,673 2,220,123 7,824,262 7,360,736 
Gross margin - home sales846,324 26.0 %810,375 27.5 %2,809,981 26.6 %2,658,747 26.9 %
Gross margin - land sales and other34,465 46.9 %(10,351)(15.2)%212,497 75.0 %(24,546)(19.0)%
Selling, general and administrative expenses269,734 8.3 %241,408 8.2 %982,291 9.3 %909,446 9.2 %
Income from operations611,055 558,616 2,040,187 1,724,755 
Other:
(Loss) income from unconsolidated entities(10,044)29,285 (23,843)50,098 
Other income - net20,062 17,065 69,296 67,518 
Income before income taxes621,073 604,966 2,085,640 1,842,371 
Income tax provision145,664 159,430 514,445 470,300 
Net income$475,409 $445,536 $1,571,195 $1,372,071 
Per share:
Basic earnings$4.67 $4.15 $15.16 $12.47 
Diluted earnings$4.63 $4.11 $15.01 $12.36 
Cash dividend declared$0.23 $0.21 $0.90 $0.83 
Weighted-average number of shares:
Basic101,716 107,465 103,653 110,020 
Diluted102,676 108,388 104,690 111,008 
Effective tax rate23.5%26.4%24.7%25.5%

10


TOLL BROTHERS, INC. AND SUBSIDIARIES
SUPPLEMENTAL DATA
(Amounts in thousands)
(unaudited)

Three Months Ended
October 31,
Twelve Months Ended
October 31,
 2024202320242023
Inventory impairments and write-offs included in home sales cost of revenues:
Pre-development costs and option write offs
$2,158 $1,369 $6,676 $10,712 
Land owned for future communities— 799 — 1,493 
Land owned for operating communities
21,925 6,101 52,765 18,501 
$24,083 $8,269 $59,441 $30,706 
Land and other impairments included in land sales and other cost of revenues$— $12,860 $4,400 $30,560 
Joint venture impairments included in (loss) income from unconsolidated entities$6,600 $— $6,600 $— 
Depreciation and amortization$25,773 $22,224 $81,201 $76,473 
Interest incurred$23,724 $27,907 $108,269 $122,288 
Interest expense:
Charged to home sales cost of revenues$37,841 $39,768 $128,962 $139,410 
Charged to land sales and other cost of revenues1,321 4,701 3,142 10,787 
$39,162 $44,469 $132,104 $150,197 
Home sites controlled:October 31,
2024
October 31,
2023
Owned33,964 35,916 
Optioned40,755 34,748 
74,719 70,664 

Inventory at October 31, 2024 and October 31, 2023 consisted of the following (amounts in thousands):
October 31,
2024
October 31,
2023
Land deposits and costs of future communities$620,040 $549,035 
Land and land development costs2,532,221 2,631,147 
Land and land development costs associated with homes under construction3,617,266 2,916,334 
Total land and land development costs6,769,527 6,096,516 
Homes under construction2,458,541 2,515,484 
Model homes (1)
484,857 445,578 
$9,712,925 $9,057,578 
(1)    Includes the allocated land and land development costs associated with each of our model homes in operation.
11


Toll Brothers operates in the following five geographic segments, with operations generally located in the states listed below:
North: Connecticut, Delaware, Illinois, Massachusetts, Michigan, New Jersey, New York and Pennsylvania
Mid-Atlantic: Georgia, Maryland, North Carolina, Tennessee and Virginia
South: Florida, South Carolina and Texas
Mountain: Arizona, Colorado, Idaho, Nevada and Utah
Pacific: California, Oregon and Washington

Three Months Ended
October 31,
Units$ (Millions)Average Price Per Unit $
202420232024202320242023
REVENUES
North498 422 $501.3 $412.3 $1,006,600 $977,000 
Mid-Atlantic495 380 446.0 388.2 $901,100 $1,021,500 
South947 717 819.9 659.9 $865,800 $920,400 
Mountain1,039 807 863.5 780.3 $831,100 $966,900 
Pacific452 429 629.1 710.3 $1,391,700 $1,655,700 
Home Building3,431 2,755 3,259.8 2,951.0 $950,100 $1,071,100 
Corporate and other0.2 0.9 
Total home sales3,431 2,755 3,260.0 2,951.9 $950,200 $1,071,500 
Land sales and other73.5 68.2 
Total Consolidated$3,333.5 $3,020.1 
CONTRACTS
North355 343 $371.2 $325.0 $1,045,600 $947,400 
Mid-Atlantic377 286 364.1 279.5 $965,700 $977,500 
South777 590 654.5 505.0 $842,400 $856,000 
Mountain796 517 683.5 438.7 $858,700 $848,600 
Pacific353 302 586.0 466.5 $1,660,100 $1,544,700 
Total Consolidated2,658 2,038 $2,659.3 $2,014.7 $1,000,500 $988,600 
BACKLOG
North855 956 $937.5 $964.1 $1,096,500 $1,008,500 
Mid-Atlantic786 945 824.8 953.0 $1,049,400 $1,008,400 
South2,003 2,312 1,807.5 2,093.4 $902,400 $905,500 
Mountain1,595 1,577 1,645.5 1,577.7 $1,031,700 $1,000,500 
Pacific757 788 1,252.5 1,357.1 $1,654,600 $1,722,200 
Total Consolidated5,996 6,578 $6,467.8 $6,945.3 $1,078,700 $1,055,800 


12


Twelve Months Ended
October 31,
Units$ (Millions)Average Price Per Unit $
202420232024202320242023
REVENUES
North1,522 1,577 $1,484.3 $1,494.1 $975,200 $947,400 
Mid-Atlantic1,512 1,067 1,422.0 1,175.3 $940,500 $1,101,500 
South3,316 2,597 2,787.4 2,204.8 $840,600 $849,000 
Mountain2,984 2,897 2,590.4 2,660.7 $868,100 $918,400 
Pacific1,479 1,459 2,279.1 2,329.4 $1,541,000 $1,596,600 
Home Building10,813 9,597 10,563.2 9,864.3 $976,900 $1,027,900 
Corporate and other0.1 1.7 
Total home sales10,813 9,597 10,563.3 9,866.0 $976,900 $1,028,000 
Land sales and other283.4 128.9 
Total Consolidated$10,846.7 $9,994.9 
CONTRACTS
North1,421 1,411 $1,456.8 $1,336.9 $1,025,200 $947,500 
Mid-Atlantic1,353 1,170 1,292.0 1,165.5 $954,900 $996,200 
South3,007 2,386 2,498.2 1,938.3 $830,800 $812,400 
Mountain3,002 1,950 2,655.0 1,633.1 $884,400 $837,500 
Pacific1,448 1,160 2,170.6 1,834.0 $1,499,000 $1,581,000 
Total Consolidated10,231 8,077 $10,072.6 $7,907.8 $984,500 $979,100 

Note: Due to rounding, amounts may not add.

Unconsolidated entities:
Information related to revenues and contracts of entities in which we have an interest for the three-month and twelve-month periods ended October 31, 2024 and 2023, and for backlog at October 31, 2024 and 2023 is as follows:
Units$ (Millions)Average Price Per Unit $
202420232024202320242023
Three months ended October 31,
Revenues62 $71.0 $7.3 $1,145,700 $6,413,200 
Contracts20 14 $27.5 $12.8 $1,372,700 $916,500 
Twelve months ended October 31,
Revenues238 $267.6 $38.9 $1,124,400 $4,316,800 
Contracts101 77 $125.0 $101.3 $1,237,800 $1,316,000 
Backlog at October 31,12 149 $17.4 $160.0 $1,448,800 $1,073,600 

13


RECONCILIATION OF NON-GAAP MEASURES
This press release contains, and Company management’s discussion of the results presented in this press release may include, information about the Company’s adjusted home sales gross margin, adjusted net income, adjusted diluted earnings per share and the Company’s net debt-to-capital ratio.
These four measures are non-GAAP financial measures which are not calculated in accordance with generally accepted accounting principles (“GAAP”). These non-GAAP financial measures should not be considered a substitute for, or superior to, the comparable GAAP financial measures, and may be different from non-GAAP measures used by other companies in the home building business.
The Company’s management considers these non-GAAP financial measures as we make operating and strategic decisions and evaluate our performance, including against other home builders that may use similar non-GAAP financial measures. The Company’s management believes these non-GAAP financial measures are useful to investors in understanding our operations and leverage and may be helpful in comparing the Company to other home builders to the extent they provide similar information.
Adjusted Home Sales Gross Margin
The following table reconciles the Company’s home sales gross margin as a percentage of home sales revenues (calculated in accordance with GAAP) to the Company’s adjusted home sales gross margin (a non-GAAP financial measure). Adjusted home sales gross margin is calculated as (i) home sales gross margin plus interest recognized in home sales cost of revenues plus inventory write-downs recognized in home sales cost of revenues divided by (ii) home sales revenues.
Adjusted Home Sales Gross Margin Reconciliation
(Amounts in thousands, except percentages)
Three Months Ended
October 31,
Twelve Months Ended
October 31,
2024202320242023
Revenues - home sales$3,260,004 $2,951,904 $10,563,332 $9,866,026 
Cost of revenues - home sales2,413,680 2,141,529 7,753,351 7,207,279 
Home sales gross margin846,324 810,375 2,809,981 2,658,747 
Add:Interest recognized in cost of revenues - home sales37,841 39,768 128,962 139,410 
Inventory impairments and write-offs in cost of revenues - home sales24,083 8,269 59,441 30,706 
Adjusted home sales gross margin$908,248 $858,412 $2,998,384 $2,828,863 
Home sales gross margin as a percentage of home sale revenues26.0 %27.5 %26.6 %26.9 %
Adjusted home sales gross margin as a percentage of home sale revenues27.9 %29.1 %28.4 %28.7 %

The Company’s management believes adjusted home sales gross margin is a useful financial measure to investors because it allows them to evaluate the performance of our home building operations without the often varying effects of capitalized interest costs and inventory impairments. The use of adjusted home sales gross margin also assists the Company’s management in assessing the profitability of our home building operations and making strategic decisions regarding community location and product mix.


14


Forward-looking Adjusted Home Sales Gross Margin
The Company has not provided projected first quarter and full FY 2025 home sales gross margin or a GAAP reconciliation for forward-looking adjusted home sales gross margin because such measure cannot be provided without unreasonable efforts on a forward-looking basis, since inventory write-downs are based on future activity and observation and therefore cannot be projected for the first quarter and full FY 2025. The variability of these charges may have a potentially unpredictable, and potentially significant, impact on our first quarter and full FY 2025 home sales gross margin.

Adjusted Net Income and Diluted Earnings Per Share Reconciliation

The following table reconciles the Company’s net income and earnings per share (calculated in accordance with GAAP) to the Company’s adjusted net income and diluted earnings per share (a non-GAAP financial measure).
Adjusted Net Income and Diluted Per Share Reconciliation
(Amounts in thousands, except per share data)

Three Months Ended
October 31,
Twelve Months Ended
October 31,
2024202320242023
Net income$475,409 $445,536 $1,571,195 $1,372,071 
Subtract:Net income resulting from the sale of a parcel of land to a commercial developer — — (124,119)— 
Adjusted net income$475,409 $445,536 $1,447,076 $1,372,071 
Diluted earnings per share$4.63 $4.11 $15.01 $12.36 
Subtract:Diluted earnings per share resulting from the sale of a parcel of land to a commercial developer— — (1.19)— 
Adjusted diluted earnings per share$4.63 $4.11 $13.82 $12.36 
15




Net Debt-to-Capital Ratio
The following table reconciles the Company’s ratio of debt to capital (calculated in accordance with GAAP) to the Company’s net debt-to-capital ratio (a non-GAAP financial measure). The net debt-to-capital ratio is calculated as (i) total debt minus mortgage warehouse loans minus cash and cash equivalents divided by (ii) total debt minus mortgage warehouse loans minus cash and cash equivalents plus stockholders’ equity.

Net Debt-to-Capital Ratio Reconciliation
(Amounts in thousands, except percentages)
October 31, 2024July 31, 2024October 31, 2023
Loans payable$1,085,817 $1,099,787 $1,164,224 
Senior notes1,597,102 1,596,873 1,596,185 
Mortgage company loan facility150,000 125,417 100,058 
Total debt2,832,919 2,822,077 2,860,467 
Total stockholders’ equity
7,670,928 7,414,864 6,797,156 
Total capital$10,503,847 $10,236,941 $9,657,623 
Ratio of debt-to-capital27.0 %27.6 %29.6 %
Total debt$2,832,919 $2,822,077 $2,860,467 
Less:Mortgage company loan facility(150,000)(125,417)(100,058)
Cash and cash equivalents (1,303,039)(893,422)(1,300,068)
Total net debt1,379,880 1,803,238 1,460,341 
Total stockholders’ equity
7,670,928 7,414,864 6,797,156 
Total net capital$9,050,808 $9,218,102 $8,257,497 
Net debt-to-capital ratio15.2 %19.6 %17.7 %

The Company’s management uses the net debt-to-capital ratio as an indicator of its overall leverage and believes it is a useful financial measure to investors in understanding the leverage employed in the Company’s operations.
###

16
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Document Type Document
Dec. 09, 2024
Cover [Abstract]  
Document Type 8-K
Document Period End Date Dec. 09, 2024
Entity Registrant Name Toll Brothers, Inc.
Entity Incorporation, State or Country Code DE
Entity File Number 001-09186
Entity Tax Identification Number 23-2416878
Entity Address, Address Line One 1140 Virginia Drive
Entity Address, City or Town Fort Washington
Entity Address, State or Province PA
Entity Address, Postal Zip Code 19034
City Area Code 215
Local Phone Number 938-8000
Written Communications false
Soliciting Material false
Pre-commencement Tender Offer false
Pre-commencement Issuer Tender Offer false
Title of 12(b) Security Common stock, par value $0.01 per share
Trading Symbol TOL
Security Exchange Name NYSE
Entity Emerging Growth Company false
Entity Central Index Key 0000794170
Amendment Flag false

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