$279.56
+ $4.06 (1.47%)
End-of-day quote: 05/07/2024
ASX:CSL

CSL 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
$13.31B $10.56B $10.31B $9.15B $8.54B $7.92B $6.95B $6.12B $5.46B $5.33B $4.95B $4.62B $4.19B $4.46B $4.62B $3.56B $3.17B $2.85B $2.61B $1.65B
GM % Gross Margin %
51.42% 54.27% 56.68% 57.11% 55.95% 55.38% 52.07% 50.08% 52.26% 51.19% 51.69% 48.23% 49.16% 50.97% 48.08% 45.77% 45.23% 40.22% 37.95% 35.16%
OM Operating Margin
24.44% 27.71% 30.36% 29.69% 29.33% 30.07% 25.46% 23.51% 32.21% 30.69% 29.89% 27.46% 28.28% 30.46% 28.83% 26.92% 24.68% 6.47% 16.56% 19.88%
EPS Earnings Per Share
$0.00 $5.39 $4.80 $5.21 $4.62 $4.23 $3.81 $2.94 $2.49 $2.96 $2.77 $2.43 $1.97 $1.82 $1.68 $1.41 $1.11 $0.76 $0.47 $0.38 $0.19
Div. Dividends
$2.36 $2.22 $2.22 $2.02 $1.85 $1.72 $1.36 $1.26 $1.24 $1.13 $1.02 $0.87 $0.84 $0.72 $0.58 $0.40 $0.28 $0.15 $0.14 $0.09
PR % Payout Ratio %
43.78% 46.25% 42.61% 43.72% 43.74% 45.14% 46.26% 50.60% 41.89% 40.79% 41.98% 44.16% 46.15% 42.86% 41.13% 36.04% 36.84% 31.91% 36.84% 47.37%
Sha. Shares
482.37m 481.71m 455.13m 454.05m 453.14m 452.4m 453.25m 456.61m 464.83m 474.79m 487.35m 506.93m 524.84m 549.69m 599.24m 550.4m 549.13m 545.67m 564.82m 589.35m
OCF Operating Cash Flow
$2.60B $2.63B $3.62B $2.49B $1.64B $1.90B $1.25B $1.18B $1.36B $1.36B $1.31B $1.21B $1.02B $1.17B $1.02B $689.26M $480.84M $522.16M $577.39M $206.99M
FCF Free Cash Flow
$1.37B $1.55B $2.43B $1.28B $526.80M $1.12B $557.50M $612.90M $1.02B $1.01B $878.50M $901.24M $859.21M $924.20M $756.03M $471.17M $275.36M $400.09M $472.37M $127.40M
FCFS Free Cash Flow Per Share
$1.89 $2.95 $4.30 $2.47 $0.79 $2.01 $0.85 $1.33 $2.01 $1.98 $1.73 $1.70 $1.49 $1.54 $1.19 $0.81 $0.36 $0.72 $0.79 $0.22