$70.22
$0.00 (0.00%)
End-of-day quote: 04/26/2024
NasdaqGS:CHRW

C.H. Robinson Worldwide Annual Report

Year Year 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2023 2022 2021 2020
Rev. Revenue
$15.31B $16.63B $14.87B $13.14B $13.48B $13.47B $12.75B $11.36B $10.34B $9.27B $7.58B $8.58B $7.32B $6.56B $5.69B $4.34B $17.60B $24.70B $23.10B $16.21B
GM % Gross Margin %
8.41% 8.19% 7.99% 9.23% 9.03% 7.93% 7.92% 8.68% 9.06% 9.01% 10.35% 9.01% 9.24% 16.51% 15.46% 15.22% 6.56% 7.66% 6.96% 7.22%
OM Operating Margin
5.16% 5.48% 5.21% 6.37% 6.37% 5.56% 5.35% 6.34% 6.70% 6.72% 7.72% 6.66% 6.97% 6.37% 5.74% 5.13% 3.02% 5.28% 4.68% 4.15%
EPS Earnings Per Share
$0.00 $3.30 $7.62 $6.31 $3.72 $4.17 $4.73 $3.35 $3.59 $3.51 $3.05 $2.65 $2.76 $2.65 $2.33 $2.13 $2.08 $1.86 $1.53 $1.16 $0.80
Div. Dividends
$2.01 $1.88 $1.81 $1.74 $1.57 $1.43 $1.40 $1.34 $1.20 $1.04 $0.97 $0.90 $0.76 $0.57 $0.36 $0.26 $2.42 $2.26 $2.08 $2.04
PR % Payout Ratio %
48.20% 39.75% 54.03% 48.47% 44.73% 46.89% 52.83% 48.55% 45.28% 44.64% 45.54% 43.27% 40.86% 37.25% 31.03% 32.50% 73.33% 29.66% 32.96% 54.84%
Sha. Shares
134.9m 137.28m 139.54m 141.26m 143.46m 146.46m 150.2m 161.33m 163.44m 166.05m 167.1m 170.44m 170.82m 172.66m 173.03m 170.48m 116.77m 116.32m 129.19m 134.3m
OCF Operating Cash Flow
$835.42M $792.90M $384.00M $529.41M $718.34M $513.43M $347.78M $460.34M $429.71M $344.78M $372.57M $447.58M $308.43M $343.38M $224.11M $153.37M $731.95M $1.65B $94.96M $499.19M
FCF Free Cash Flow
$764.95M $729.03M $322.56M $437.97M $673.69M $483.92M $299.57M $409.69M $393.78M $327.06M $338.10M $423.83M $264.72M $300.14M $202.29M $118.63M $780.72M $1.52B $24.03M $445.18M
FCFS Free Cash Flow Per Share
$5.59 $5.24 $2.32 $3.07 $4.65 $3.29 $1.91 $2.54 $2.30 $1.92 $2.02 $2.51 $1.55 $1.76 $1.19 $0.70 $5.46 $12.10 $0.18 $3.28