$157.21
$-4.16 (-2.58%)
End-of-day quote: 04/30/2024
NYSE:GPC

Genuine Parts Annual Report

Year Year 2023 2022 2021 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020
Rev. Revenue
$23.09B $22.10B $18.87B $9.10B $9.78B $10.46B $10.84B $11.02B $10.06B $11.21B $12.46B $13.01B $14.08B $15.34B $15.28B $15.34B $16.31B $18.74B $19.39B $16.54B
GM % Gross Margin %
35.90% 35.03% 35.16% 31.11% 29.62% 29.69% 29.67% 29.71% 29.93% 29.02% 28.94% 29.03% 30.12% 29.94% 29.82% 29.98% 30.08% 31.94% 32.57% 34.19%
OM Operating Margin
7.78% 7.60% 6.74% 7.40% 7.54% 7.62% 7.73% 7.26% 6.67% 7.02% 7.30% 7.80% 7.64% 7.33% 7.36% 6.97% 6.25% 6.26% 5.79% 6.06%
EPS Earnings Per Share
$0.00 $9.33 $8.34 $6.91 $5.27 $5.69 $5.68 $4.71 $4.59 $4.63 $4.61 $4.19 $4.14 $3.58 $3.00 $2.50 $2.92 $2.98 $2.76 $2.50 $2.25
Div. Dividends
$3.80 $3.58 $3.26 $1.20 $1.25 $1.35 $1.46 $1.56 $1.60 $1.64 $1.80 $1.98 $2.15 $2.30 $2.46 $2.63 $2.70 $2.88 $3.05 $3.16
PR % Payout Ratio %
40.73% 42.93% 47.18% 53.33% 50.00% 48.91% 48.99% 53.42% 64.00% 54.67% 50.28% 47.83% 51.31% 49.89% 53.13% 57.30% 57.32% 50.70% 53.60% 59.96%
Sha. Shares
139.57m 140.94m 142.18m 174.96m 173.03m 170.53m 166.07m 159.44m 158.92m 157.64m 155.65m 154.84m 153.77m 153.11m 150.08m 148.41m 146.65m 145.94m 145.38m 144.35m
OCF Operating Cash Flow
$1.44B $1.47B $1.26B $555.24M $440.52M $433.50M $641.47M $530.31M $845.30M $678.66M $624.93M $906.44M $1.06B $790.15M $1.16B $946.08M $815.04M $1.15B $892.01M $2.02B
FCF Free Cash Flow
$993.40M $1.13B $992.15M $483.16M $354.81M $307.46M $525.82M $425.28M $775.85M $593.28M $521.46M $804.45M $932.67M $682.46M $1.05B $785.44M $658.28M $912.74M $594.14M $1.86B
FCFS Free Cash Flow Per Share
$6.58 $7.97 $6.92 $2.77 $2.04 $1.79 $3.11 $2.62 $4.41 $3.75 $3.33 $5.18 $6.03 $4.45 $6.92 $5.27 $4.47 $6.22 $4.08 $12.92