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Side-by-side financial comparison of Borr Drilling Ltd (BORR) and CareTrust REIT, Inc. (CTRE). Click either name above to swap in a different company.
Borr Drilling Ltd is the larger business by last-quarter revenue ($267.7M vs $134.9M, roughly 2.0× CareTrust REIT, Inc.). CareTrust REIT, Inc. runs the higher net margin — 82.5% vs 13.1%, a 69.4% gap on every dollar of revenue. On growth, CareTrust REIT, Inc. posted the faster year-over-year revenue change (55.1% vs -1.5%).
Borr Drilling Ltd is a global offshore drilling contractor owning and operating a modern fleet of high-spec jack-up rigs. It offers drilling services to oil and gas exploration and production firms, with main operations across the North Sea, Southeast Asia, Middle East, and West Africa for shallow-water and marginal field projects.
CareTrust REIT, Inc.CTREEarnings & Financial Report
Target Healthcare REIT is a British property investment company which invests in healthcare properties and holds a large portfolio of care homes. It is structured as a real estate investment trust (REIT) and is listed on the London Stock Exchange and is a constituent of the FTSE 250 Index.
BORR vs CTRE — Head-to-Head
Income Statement — Q2 FY2025 vs Q4 FY2025
| Metric | ||
|---|---|---|
| Revenue | $267.7M | $134.9M |
| Net Profit | $35.1M | $111.3M |
| Gross Margin | — | — |
| Operating Margin | 36.0% | — |
| Net Margin | 13.1% | 82.5% |
| Revenue YoY | -1.5% | 55.1% |
| Net Profit YoY | 10.7% | 113.5% |
| EPS (diluted) | $0.14 | $0.52 |
Green = leading value per metric. Periods may differ when fiscal calendars don't align.
8-Quarter Revenue & Profit Trend
Side-by-side quarterly history. Quarters aligned by calendar period so offset fiscal years line up.
| Q4 25 | — | $134.9M | ||
| Q3 25 | — | $132.4M | ||
| Q2 25 | $267.7M | $112.5M | ||
| Q1 25 | — | $96.6M | ||
| Q4 24 | — | $86.9M | ||
| Q3 24 | — | $77.4M | ||
| Q2 24 | $271.9M | $68.9M | ||
| Q1 24 | — | $63.1M |
| Q4 25 | — | $111.3M | ||
| Q3 25 | — | $74.9M | ||
| Q2 25 | $35.1M | $68.5M | ||
| Q1 25 | — | $65.8M | ||
| Q4 24 | — | $52.1M | ||
| Q3 24 | — | $33.4M | ||
| Q2 24 | $31.7M | $10.8M | ||
| Q1 24 | — | $28.7M |
| Q4 25 | — | — | ||
| Q3 25 | — | 58.1% | ||
| Q2 25 | 36.0% | 61.3% | ||
| Q1 25 | — | — | ||
| Q4 24 | — | — | ||
| Q3 24 | — | 43.0% | ||
| Q2 24 | 38.4% | 15.1% | ||
| Q1 24 | — | — |
| Q4 25 | — | 82.5% | ||
| Q3 25 | — | 56.6% | ||
| Q2 25 | 13.1% | 60.9% | ||
| Q1 25 | — | 68.1% | ||
| Q4 24 | — | 60.0% | ||
| Q3 24 | — | 43.2% | ||
| Q2 24 | 11.7% | 15.6% | ||
| Q1 24 | — | 45.6% |
| Q4 25 | — | $0.52 | ||
| Q3 25 | — | $0.35 | ||
| Q2 25 | $0.14 | $0.35 | ||
| Q1 25 | — | $0.35 | ||
| Q4 24 | — | $0.30 | ||
| Q3 24 | — | $0.21 | ||
| Q2 24 | $0.12 | $0.07 | ||
| Q1 24 | — | $0.22 |
Balance Sheet & Financial Strength
Snapshot of each company's liquidity, leverage and book value from the latest quarter.
| Metric | ||
|---|---|---|
| Cash + ST InvestmentsLiquidity on hand | $92.4M | $198.0M |
| Total DebtLower is stronger | — | $894.2M |
| Stockholders' EquityBook value | $1.0B | $4.0B |
| Total Assets | $3.4B | $5.1B |
| Debt / EquityLower = less leverage | — | 0.22× |
8-quarter trend — quarters aligned by calendar period.
| Q4 25 | — | $198.0M | ||
| Q3 25 | — | $712.5M | ||
| Q2 25 | $92.4M | $306.1M | ||
| Q1 25 | — | $26.5M | ||
| Q4 24 | — | $213.8M | ||
| Q3 24 | — | $377.1M | ||
| Q2 24 | $195.3M | $495.1M | ||
| Q1 24 | — | $451.2M |
| Q4 25 | — | $894.2M | ||
| Q3 25 | — | $893.8M | ||
| Q2 25 | — | $1.2B | ||
| Q1 25 | — | $822.1M | ||
| Q4 24 | — | $396.9M | ||
| Q3 24 | — | $396.7M | ||
| Q2 24 | — | $671.1M | ||
| Q1 24 | — | $595.9M |
| Q4 25 | — | $4.0B | ||
| Q3 25 | — | $4.0B | ||
| Q2 25 | $1.0B | $3.3B | ||
| Q1 25 | — | $2.9B | ||
| Q4 24 | — | $2.9B | ||
| Q3 24 | — | $2.4B | ||
| Q2 24 | $999.2M | $1.9B | ||
| Q1 24 | — | $1.7B |
| Q4 25 | — | $5.1B | ||
| Q3 25 | — | $5.1B | ||
| Q2 25 | $3.4B | $4.7B | ||
| Q1 25 | — | $3.9B | ||
| Q4 24 | — | $3.4B | ||
| Q3 24 | — | $2.9B | ||
| Q2 24 | $3.2B | $2.7B | ||
| Q1 24 | — | $2.3B |
| Q4 25 | — | 0.22× | ||
| Q3 25 | — | 0.22× | ||
| Q2 25 | — | 0.35× | ||
| Q1 25 | — | 0.28× | ||
| Q4 24 | — | 0.14× | ||
| Q3 24 | — | 0.16× | ||
| Q2 24 | — | 0.35× | ||
| Q1 24 | — | 0.36× |
Cash Flow & Capital Efficiency
How much cash each business actually produces after reinvestment. Cash flow is harder to manipulate than net income.
| Metric | ||
|---|---|---|
| Operating Cash FlowLast quarter | $6.3M | $394.0M |
| Free Cash FlowOCF − Capex | — | — |
| FCF MarginFCF / Revenue | — | — |
| Capex IntensityCapex / Revenue | — | — |
| Cash ConversionOCF / Net Profit | 0.18× | 3.54× |
| TTM Free Cash FlowTrailing 4 quarters | — | — |
8-quarter trend — quarters aligned by calendar period.
| Q4 25 | — | $394.0M | ||
| Q3 25 | — | $100.9M | ||
| Q2 25 | $6.3M | $100.8M | ||
| Q1 25 | — | $71.4M | ||
| Q4 24 | — | $244.3M | ||
| Q3 24 | — | $67.2M | ||
| Q2 24 | $16.0M | $53.0M | ||
| Q1 24 | — | $48.8M |
| Q4 25 | — | 3.54× | ||
| Q3 25 | — | 1.35× | ||
| Q2 25 | 0.18× | 1.47× | ||
| Q1 25 | — | 1.08× | ||
| Q4 24 | — | 4.68× | ||
| Q3 24 | — | 2.01× | ||
| Q2 24 | 0.50× | 4.92× | ||
| Q1 24 | — | 1.70× |
Financial Flow Comparison
Revenue → gross profit → operating profit → net profit for each company.
Revenue Breakdown by Segment
BORR
| Transferred Over Time | $256.6M | 96% |
| Transferred At Point In Time | $11.1M | 4% |
CTRE
Segment breakdown not available.