$291.38
+ $3.24 (1.12%)
End-of-day quote: 05/06/2024
NYSE:GD

General Dynamics Annual Report

Year Year 2023 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2022 2021 2020
Rev. Revenue
$42.27B $39.35B $36.19B $30.97B $30.56B $31.78B $30.85B $30.93B $30.99B $32.68B $32.47B $31.98B $29.30B $27.24B $24.06B $20.98B $18.87B $39.41B $38.47B $37.93B
GM % Gross Margin %
15.78% 17.94% 18.55% 20.15% 18.54% 19.61% 19.04% 18.52% 17.04% 18.26% 18.20% 17.60% 18.33% 17.46% 10.91% 10.39% 10.23% 16.80% 16.66% 16.68%
OM Operating Margin
8.77% 11.85% 12.39% 13.49% 12.22% 13.51% 12.70% 11.93% 9.87% 12.05% 12.15% 11.49% 12.47% 11.43% 10.91% 10.39% 10.23% 11.68% 11.39% 11.11%
EPS Earnings Per Share
$0.00 $12.02 $12.19 $11.55 $11.00 $11.98 $11.22 $9.95 $9.87 $9.08 $7.83 $7.03 $6.48 $7.30 $6.82 $6.20 $6.22 $5.10 $4.20 $3.63 $2.99
Div. Dividends
$5.16 $4.08 $3.72 $3.36 $3.04 $2.76 $2.48 $2.24 $2.04 $1.88 $1.68 $1.52 $1.40 $1.16 $0.92 $0.80 $0.72 $5.04 $4.76 $4.40
PR % Payout Ratio %
42.93% 34.06% 33.16% 33.77% 30.80% 30.40% 31.67% 31.86% 31.48% 25.75% 24.63% 24.52% 22.51% 22.75% 21.90% 22.04% 24.08% 41.35% 41.21% 40.00%
Sha. Shares
273.16m 288.95m 288.01m 296.08m 301.3m 311.6m 330.44m 351.46m 351.3m 356.44m 372.05m 385.7m 386.71m 403.98m 405.79m 400.36m 402.07m 273.92m 277.09m 285.99m
OCF Operating Cash Flow
$4.71B $2.93B $3.13B $3.84B $2.11B $2.56B $3.86B $3.09B $2.67B $3.21B $2.98B $2.84B $3.11B $2.93B $2.13B $2.06B $1.80B $4.60B $4.25B $3.80B
FCF Free Cash Flow
$3.54B $1.99B $2.46B $3.45B $1.81B $1.89B $3.21B $2.67B $2.24B $2.78B $2.62B $2.46B $2.62B $2.45B $1.79B $1.78B $1.55B $3.47B $3.38B $2.89B
FCFS Free Cash Flow Per Share
$13.92 $6.74 $8.26 $11.39 $5.63 $6.21 $9.97 $7.58 $6.33 $7.56 $6.86 $6.37 $6.61 $6.06 $4.45 $4.47 $3.88 $12.66 $12.00 $9.87