$145.38
+ $0.54 (0.37%)
End-of-day quote: 05/01/2024
NYSE:ATR

AptarGroup Inc 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
$3.49B $3.32B $3.23B $2.93B $2.86B $2.76B $2.47B $2.33B $2.32B $2.60B $2.52B $2.33B $2.34B $2.08B $1.84B $2.07B $1.89B $1.60B $1.38B $1.30B
GM % Gross Margin %
36.23% 35.03% 35.67% 37.07% 36.35% 34.40% 35.08% 35.81% 34.83% 32.43% 32.19% 31.94% 32.90% 33.61% 33.45% 31.88% 32.24% 32.30% 33.05% 33.14%
OM Operating Margin
12.93% 11.33% 11.37% 12.81% 13.79% 12.64% 13.19% 13.56% 13.67% 11.80% 11.87% 11.72% 12.28% 12.91% 11.18% 11.30% 11.33% 10.22% 11.12% 10.87%
EPS Earnings Per Share
$0.00 $4.78 $3.79 $3.88 $3.64 $3.95 $4.00 $3.44 $3.13 $3.00 $2.85 $2.79 $2.48 $2.65 $2.49 $1.86 $2.18 $1.95 $1.42 $1.38 $1.26
Div. Dividends
$1.59 $1.52 $1.50 $1.44 $1.42 $1.32 $1.28 $1.22 $1.14 $1.09 $1.00 $0.91 $0.80 $0.66 $0.60 $0.56 $0.50 $0.42 $0.35 $0.22
PR % Payout Ratio %
33.26% 40.11% 38.66% 39.56% 35.95% 33.00% 37.21% 38.98% 38.00% 38.25% 35.84% 36.69% 30.19% 26.51% 32.26% 25.69% 25.64% 29.58% 25.36% 17.46%
Sha. Shares
65.9m 65.29m 65.52m 64.99m 63.77m 62.92m 61.86m 62.15m 62.52m 61.93m 65.38m 65.93m 65.85m 66.75m 67.31m 67.6m 68.2m 69.1m 69.8m 71.2m
OCF Operating Cash Flow
$575.24M $478.62M $363.44M $570.15M $514.46M $313.63M $324.73M $325.30M $323.76M $316.33M $286.10M $313.89M $261.04M $278.70M $279.79M $270.21M $273.46M $197.46M $194.06M $183.23M
FCF Free Cash Flow
$232.00M $168.19M $57.51M $324.20M $272.18M $102.38M $168.11M $198.21M $175.19M $152.61M $133.93M $139.84M $81.35M $159.90M $134.86M $66.61M $135.52M $89.80M $89.63M $63.48M
FCFS Free Cash Flow Per Share
$3.91 $2.49 $0.85 $4.94 $4.21 $1.63 $2.69 $3.09 $2.79 $2.37 $2.03 $2.11 $1.22 $2.37 $1.99 $0.96 $1.95 $1.22 $1.25 $0.85