$320.33
$0.00 (0.00%)
End-of-day quote: 05/10/2024
ASX:COH

Cochlear Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
$1.94B $1.65B $1.50B $1.32B $1.43B $1.36B $1.25B $1.13B $925.63M $804.94M $752.72M $779.00M $809.65M $734.80M $694.70M $601.73M $559.41M $452.26M $348.97M $285.84M
GM % Gross Margin %
74.79% 75.07% 72.61% 73.05% 75.39% 73.51% 71.41% 70.49% 70.26% 69.15% 72.36% 73.91% 71.78% 72.48% 71.75% 71.91% 71.16% 71.04% 71.43% 71.97%
OM Operating Margin
20.99% 23.11% 23.00% 16.76% 24.74% 25.31% 25.14% 22.46% 22.17% 18.98% 24.10% 27.68% 30.34% 29.85% 25.14% 27.03% 27.45% 23.99% 23.55% 18.62%
EPS Earnings Per Share
$0.00 $4.64 $4.21 $3.60 $2.58 $4.61 $4.38 $3.89 $3.30 $2.55 $1.92 $2.32 $2.78 $3.16 $2.74 $2.33 $2.07 $1.80 $1.45 $1.01 $0.91
Div. Dividends
$3.30 $3.00 $2.55 $1.60 $3.30 $3.00 $2.70 $2.30 $1.90 $2.54 $2.52 $2.45 $2.25 $2.00 $1.75 $1.50 $1.25 $1.00 $0.80 $0.79
PR % Payout Ratio %
71.12% 71.26% 70.83% 62.02% 71.58% 68.49% 69.41% 69.70% 74.51% 132.29% 108.62% 88.13% 71.20% 72.99% 75.11% 72.46% 69.44% 68.97% 79.21% 86.81%
Sha. Shares
65.61m 65.78m 65.74m 65.69m 57.72m 57.55m 57.43m 57.2m 56.96m 56.94m 56.92m 56.87m 56.68m 56.48m 55.98m 55.52m 54.77m 54.64m 54.17m 54.16m
OCF Operating Cash Flow
$362.40M $376.50M $271.30M $-157.80M $296.00M $258.10M $259.80M $185.11M $188.70M $111.42M $69.73M $168.28M $201.28M $179.55M $146.63M $84.55M $76.84M $51.56M $103.01M $48.97M
FCF Free Cash Flow
$312.40M $332.00M $230.10M $-269.20M $236.10M $229.70M $206.18M $134.98M $164.80M $87.92M $34.18M $147.44M $166.00M $98.35M $120.04M $66.72M $58.24M $37.23M $98.02M $35.64M
FCFS Free Cash Flow Per Share
$4.05 $4.55 $3.02 $-4.83 $3.14 $3.62 $3.29 $2.58 $2.81 $1.40 $0.34 $2.30 $1.96 $1.55 $1.79 $1.00 $0.91 $0.67 $1.75 $0.66