$400.96
$0.00 (0.00%)
End-of-day quote: 05/04/2024
NYSE:DE

Deere & Annual Report

Year Year 2023 2022 2010 2009 2008 2007 2006 2005 2004 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021
Rev. Revenue
$61.22B $52.56B $26.00B $23.11B $28.42B $24.00B $22.06B $21.17B $19.17B $32.00B $36.14B $37.78B $36.05B $28.78B $26.55B $29.07B $37.32B $39.23B $35.51B $43.98B
GM % Gross Margin %
34.49% 27.56% 26.28% 22.53% 24.11% 24.42% 23.20% 22.59% 23.77% 26.35% 26.08% 27.70% 26.21% 23.57% 23.18% 23.31% 24.08% 23.42% 25.22% 27.77%
OM Operating Margin
25.42% 18.75% 12.81% 8.55% 11.55% 11.36% 10.61% 10.56% 11.68% 13.93% 13.75% 15.23% 14.00% 9.09% 8.87% 10.07% 11.14% 10.99% 12.81% 18.00%
EPS Earnings Per Share
$0.00 $34.69 $23.98 $18.99 $8.69 $9.94 $9.39 $6.68 $4.81 $5.77 $8.63 $9.09 $7.63 $6.63 $4.66 $2.84 $4.78 $4.01 $3.18 $2.94 $2.78
Div. Dividends
$4.83 $4.28 $1.16 $1.12 $1.03 $0.91 $0.78 $0.61 $0.53 $1.41 $1.74 $1.99 $2.22 $2.40 $2.40 $2.40 $2.58 $3.04 $3.04 $3.32
PR % Payout Ratio %
13.92% 17.85% 24.89% 39.44% 21.55% 22.69% 24.53% 20.75% 19.06% 21.27% 22.80% 21.89% 25.72% 41.59% 49.90% 35.93% 27.48% 30.58% 34.98% 17.48%
Sha. Shares
281.58m 298.77m 422.18m 423.24m 422.3m 439.64m 454.47m 473.74m 493.72m 406.07m 387.81m 373.8m 345.5m 316.69m 314.77m 321.84m 318.46m 313.14m 313.66m 308.07m
OCF Operating Cash Flow
$8.59B $4.70B $2.28B $1.98B $1.95B $2.76B $973.20M $1.22B $496.10M $2.33B $1.17B $3.25B $3.53B $3.76B $3.77B $2.20B $1.82B $3.41B $7.48B $7.73B
FCF Free Cash Flow
$7.09B $5.11B $969.40M $676.70M $340.80M $1.28B $-210.20M $362.00M $-158.30M $1.27B $-151.50M $2.10B $3.49B $2.37B $2.26B $1.85B $2.39B $2.08B $6.67B $6.88B
FCFS Free Cash Flow Per Share
$14.10 $2.99 $2.29 $1.60 $0.79 $2.84 $-0.45 $0.74 $-0.32 $1.55 $-2.40 $2.28 $2.39 $2.80 $2.58 $-1.24 $-3.50 $-0.12 $15.40 $16.51