$137.24
$0.00 (0.00%)
End-of-day quote: 05/17/2024
NYSE:GATX

GATX 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
$1.41B $1.27B $1.26B $1.21B $1.20B $1.18B $1.37B $1.41B $1.45B $1.45B $1.32B $1.24B $1.19B $1.11B $1.12B $1.34B $1.25B $1.15B $1.03B $1.05B
GM % Gross Margin %
72.55% 73.06% 71.86% 68.20% 67.75% 68.89% 61.89% 61.99% 60.74% 55.65% 53.58% 53.16% 51.72% 50.95% 56.19% 54.76% 54.93% 54.19% 53.14% 57.47%
OM Operating Margin
27.68% 25.93% 23.24% 23.58% 23.27% 23.76% 23.67% 26.49% 25.41% 21.77% 18.80% 19.23% 17.34% 16.60% 25.48% 26.48% 26.94% 27.30% 25.57% 31.21%
EPS Earnings Per Share
$0.00 $7.07 $6.07 $5.06 $4.62 $5.51 $5.22 $4.70 $5.77 $5.37 $4.48 $3.50 $2.81 $2.01 $1.59 $1.82 $3.44 $3.28 $2.63 $2.20 $1.41
Div. Dividends
$2.20 $2.08 $2.00 $1.92 $1.84 $1.76 $1.68 $1.60 $1.52 $1.32 $1.24 $1.20 $1.16 $1.12 $1.12 $1.08 $0.96 $0.84 $0.80 $0.80
PR % Payout Ratio %
31.12% 34.27% 39.53% 41.56% 33.39% 33.72% 35.74% 27.73% 28.31% 29.46% 35.43% 42.70% 57.71% 70.44% 61.54% 31.40% 29.27% 31.94% 36.36% 56.74%
Sha. Shares
35.46m 35.27m 35.42m 35.05m 34.83m 36.61m 37.9m 39.44m 41.97m 44.2m 45.87m 46.9m 46.65m 46.36m 46.1m 48.73m 47.9m 52m 50.62m 49.53m
OCF Operating Cash Flow
$520.40M $533.50M $507.20M $428.30M $462.60M $508.50M $496.80M $629.40M $541.80M $449.20M $400.70M $370.20M $306.80M $243.70M $267.00M $364.00M $291.70M $384.70M $294.40M $341.90M
FCF Free Cash Flow
$-751.30M $-722.30M $-622.90M $-424.00M $-19.10M $-420.80M $125.90M $150.10M $-147.40M $-566.00M $-404.80M $327.90M $-209.30M $355.00M $-142.30M $-233.40M $-326.70M $-609.90M $-109.90M $-140.20M
FCFS Free Cash Flow Per Share
$-32.06 $-20.40 $-17.60 $-12.36 $-7.32 $-12.54 $-4.69 $-2.06 $-5.99 $-15.92 $-8.72 $-7.91 $-4.76 $-6.11 $-3.05 $-4.90 $-6.55 $-11.96 $-2.19 $-2.84