$154.00
$0.00 (0.00%)
End-of-day quote: 05/18/2024
NYSE:DRI

Darden Restaurants Inc 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
$10.49B $9.63B $7.20B $7.81B $8.51B $8.08B $7.17B $6.93B $6.76B $6.29B $5.92B $5.33B $7.50B $7.11B $7.22B $6.63B $5.57B $5.35B $4.98B $5.00B
GM % Gross Margin %
19.86% 20.72% 20.75% 18.04% 21.73% 21.60% 21.89% 22.23% 21.03% 20.60% 22.03% 23.25% 24.01% 22.90% 21.90% 22.45% 23.50% 23.44% 23.11% 21.99%
OM Operating Margin
11.36% 12.05% 9.11% 5.61% 10.01% 9.53% 9.33% 9.06% 6.35% 5.46% 6.77% 8.59% 9.95% 9.05% 8.76% 9.06% 10.30% 10.34% 9.81% 8.36%
EPS Earnings Per Share
$7.93 $7.39 $4.31 $3.13 $5.82 $4.81 $4.02 $3.53 $2.63 $2.47 $3.23 $3.58 $3.41 $2.89 $2.75 $2.74 $2.53 $2.16 $1.79 $1.50
Div. Dividends
$4.89 $4.51 $1.55 $2.64 $3.13 $2.64 $2.24 $2.10 $2.20 $2.20 $2.20 $2.00 $1.72 $1.28 $0.80 $0.72 $0.46 $0.40 $0.08 $0.08
PR % Payout Ratio %
61.66% 61.03% 35.96% 84.35% 53.78% 54.89% 55.72% 59.49% 83.65% 89.07% 68.11% 55.87% 50.44% 44.29% 29.09% 26.28% 18.18% 18.52% 4.47% 5.33%
Sha. Shares
121.07m 123.95m 130.76m 129.89m 123.08m 123.5m 125.4m 126.2m 126.7m 132.3m 130.3m 129m 134.6m 140.6m 139.3m 140.5m 141.4m 147m 154.39m 158.43m
OCF Operating Cash Flow
$1.55B $1.26B $1.19B $711.30M $1.26B $1.00B $898.00M $778.00M $471.00M $770.10M $949.30M $761.70M $892.60M $902.00M $782.40M $734.20M $606.40M $717.00M $583.20M $525.41M
FCF Free Cash Flow
$987.90M $887.70M $938.60M $257.50M $817.80M $623.80M $625.20M $549.70M $578.00M $355.30M $263.90M $122.50M $347.00M $469.90M $247.10M $305.00M $261.20M $443.50M $372.80M $171.08M
FCFS Free Cash Flow Per Share
$7.80 $6.68 $7.08 $1.85 $6.31 $4.70 $4.66 $4.13 $1.37 $2.47 $3.40 $2.34 $2.52 $3.37 $1.80 $2.17 $1.82 $2.96 $2.38 $1.05