$138.23
$0.00 (0.00%)
End-of-day quote: 05/04/2024
NYSE:CLX

Clorox Co-The 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
$7.39B $7.11B $7.34B $6.72B $6.21B $6.12B $5.97B $5.76B $5.66B $5.51B $5.53B $5.47B $5.23B $5.23B $5.16B $5.27B $4.85B $4.64B $4.39B $4.16B
GM % Gross Margin %
39.32% 35.81% 43.58% 45.57% 43.90% 43.68% 44.72% 45.10% 43.59% 42.73% 43.21% 42.14% 43.45% 44.31% 42.73% 41.61% 43.14% 42.18% 43.19% 43.99%
OM Operating Margin
10.99% 10.02% 16.59% 18.61% 17.77% 18.37% 18.57% 18.24% 17.72% 17.59% 17.37% 16.51% 17.61% 18.59% 17.72% 17.20% 17.76% 17.01% 18.71% 18.84%
EPS Earnings Per Share
$0.00 $5.09 $4.10 $7.25 $7.36 $6.32 $5.65 $5.35 $4.92 $4.57 $4.40 $4.31 $4.10 $3.93 $4.57 $3.81 $3.24 $3.23 $3.06 $2.88 $2.56
Div. Dividends
$4.72 $4.66 $4.49 $4.24 $3.94 $3.60 $3.24 $3.11 $2.99 $2.87 $2.63 $2.44 $2.25 $2.05 $1.88 $1.60 $1.29 $1.14 $1.10 $1.08
PR % Payout Ratio %
92.73% 113.66% 61.93% 57.61% 62.34% 63.72% 60.56% 63.21% 65.43% 65.23% 61.02% 59.51% 57.25% 44.86% 49.34% 49.38% 39.94% 37.25% 38.19% 42.19%
Sha. Shares
123.82m 123.15m 122.78m 126.2m 125.69m 127.98m 129.01m 129.36m 128.61m 128.8m 130.37m 129.56m 131.07m 138.76m 139.16m 138.04m 151.26m 151.3m 151.68m 212.99m
OCF Operating Cash Flow
$1.16B $786.00M $1.28B $1.55B $992.00M $976.00M $865.00M $778.00M $874.00M $767.00M $775.00M $612.00M $698.00M $819.00M $738.00M $730.00M $709.00M $522.00M $765.00M $899.00M
FCF Free Cash Flow
$930.00M $535.00M $945.00M $1.29B $786.00M $780.00M $640.00M $596.00M $733.00M $633.00M $581.00M $428.00M $462.00M $618.00M $542.00M $560.00M $562.00M $342.00M $614.00M $729.00M
FCFS Free Cash Flow Per Share
$7.52 $4.35 $7.53 $10.27 $6.15 $6.05 $4.92 $4.68 $5.75 $4.86 $4.46 $3.21 $3.44 $4.41 $3.90 $4.01 $3.71 $2.27 $3.48 $3.44