$194.15
$0.00 (0.00%)
End-of-day quote: 04/27/2024
NYSE:BR

Broadridge Financial Solutions Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007
Rev. Revenue
$6.06B $5.71B $4.99B $4.53B $4.36B $4.33B $4.14B $2.90B $2.69B $2.56B $2.43B $2.30B $2.17B $2.21B $2.07B $2.13B $2.16B
GM % Gross Margin %
29.46% 27.89% 28.49% 27.91% 28.20% 26.85% 24.98% 31.79% 32.14% 31.14% 27.27% 25.54% 25.37% 26.83% 27.15% 27.36% 26.57%
OM Operating Margin
15.45% 13.31% 13.59% 13.80% 14.96% 13.81% 12.89% 17.27% 17.33% 16.35% 13.96% 12.42% 12.91% 15.90% 16.53% 17.10% 16.55%
EPS Earnings Per Share
$0.00 $7.01 $6.46 $5.66 $5.03 $4.66 $4.19 $3.13 $2.73 $2.47 $2.25 $1.88 $1.55 $1.37 $1.56 $1.51 $1.36 $1.53
Div. Dividends
$2.90 $2.56 $2.30 $2.16 $1.94 $1.46 $1.32 $1.20 $1.08 $0.84 $0.72 $0.64 $0.60 $0.56 $0.28 $0.24 $0.06
PR % Payout Ratio %
41.37% 39.63% 40.64% 42.94% 41.63% 34.84% 42.17% 43.96% 43.72% 37.33% 38.30% 41.29% 43.80% 35.90% 18.54% 17.65% 3.92%
Sha. Shares
118.1m 117.3m 116.1m 115.1m 114.3m 116.3m 116.5m 118.3m 118.2m 119.5m 119m 124.8m 123.7m 129.2m 139.3m 140.4m 139.3m
OCF Operating Cash Flow
$823.30M $443.50M $640.10M $598.20M $617.00M $693.60M $515.90M $437.70M $431.40M $387.70M $270.90M $284.20M $214.30M $493.60M $358.80M $482.00M $160.50M
FCF Free Cash Flow
$748.20M $370.40M $557.30M $499.50M $566.40M $597.10M $402.20M $380.00M $381.10M $334.30M $232.70M $256.80M $143.00M $450.90M $332.00M $440.60M $128.70M
FCFS Free Cash Flow Per Share
$6.36 $3.17 $4.66 $4.35 $4.70 $4.76 $2.65 $3.06 $3.05 $2.80 $1.80 $1.91 $1.34 $3.24 $2.35 $3.12 $0.88