$102.40
$0.00 (0.00%)
End-of-day quote: 05/17/2024
NYSE:CBT

Cabot 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
$3.93B $4.32B $3.41B $2.61B $3.34B $3.24B $2.72B $2.41B $2.87B $3.65B $3.46B $3.29B $3.10B $2.72B $2.11B $3.19B $2.62B $2.54B $2.13B $1.93B
GM % Gross Margin %
21.34% 20.16% 22.94% 19.36% 20.80% 22.86% 24.25% 25.22% 20.72% 20.10% 19.13% 19.96% 18.50% 20.18% 14.09% 15.29% 19.76% 16.71% 21.04% 24.92%
OM Operating Margin
13.46% 12.94% 12.70% 8.30% 10.91% 11.72% 12.66% 12.19% 9.27% 9.98% 8.77% 9.30% 8.41% 9.28% 1.57% 5.33% 7.99% 5.51% 7.06% 11.01%
EPS Earnings Per Share
$0.00 $5.38 $6.28 $5.02 $2.08 $3.91 $4.03 $3.43 $3.14 $2.75 $3.43 $2.91 $3.34 $3.00 $3.04 $0.16 $1.47 $2.22 $1.61 $1.64 $2.02
Div. Dividends
$1.54 $1.48 $1.40 $1.40 $1.36 $1.29 $1.23 $1.04 $0.88 $0.84 $0.80 $0.76 $0.72 $0.72 $0.72 $0.72 $0.72 $0.64 $0.64 $0.60
PR % Payout Ratio %
28.62% 23.57% 27.89% 67.31% 34.78% 32.01% 35.86% 33.12% 32.00% 24.49% 27.49% 22.75% 24.00% 23.68% 450.00% 48.98% 32.43% 39.75% 39.02% 29.70%
Sha. Shares
55.24m 56.25m 56.73m 56.47m 57.08m 60.37m 61.88m 62.21m 62.46m 64.38m 63.97m 63.35m 63.86m 65.37m 65.31m 65.28m 65.28m 63.43m 62.82m 62.89m
OCF Operating Cash Flow
$595.00M $100.00M $257.00M $377.00M $363.00M $298.00M $348.00M $392.00M $499.00M $315.00M $419.00M $415.00M $195.00M $249.00M $399.00M $124.00M $309.00M $252.00M $218.00M $241.00M
FCF Free Cash Flow
$351.00M $-111.00M $62.00M $177.00M $137.00M $70.00M $193.00M $274.00M $348.00M $134.00M $155.00M $134.00M $-35.00M $141.00M $293.00M $-77.00M $165.00M $61.00M $28.00M $118.00M
FCFS Free Cash Flow Per Share
$6.26 $-1.96 $1.09 $3.13 $2.37 $1.12 $3.23 $4.36 $5.32 $2.13 $2.40 $2.10 $-0.63 $2.21 $4.67 $-1.22 $2.58 $0.98 $0.42 $1.95