$208.89
$-3.48 (-1.67%)
End-of-day quote: 05/14/2024
NYSE:HSY

Hershey Co-The 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
$11.16B $10.42B $8.97B $4.42B $4.82B $4.94B $4.95B $5.13B $5.30B $5.67B $6.08B $6.64B $7.15B $7.42B $7.39B $7.44B $7.52B $7.79B $7.99B $8.15B
GM % Gross Margin %
44.77% 43.18% 45.19% 39.48% 39.12% 37.71% 35.47% 35.76% 38.94% 42.83% 42.38% 43.59% 45.92% 44.97% 46.01% 43.38% 46.05% 46.04% 45.36% 45.44%
OM Operating Margin
22.68% 21.61% 22.83% 19.85% 20.18% 20.31% 17.62% 15.01% 16.24% 17.70% 18.16% 18.19% 19.05% 19.61% 19.77% 17.61% 20.66% 22.21% 21.25% 22.18%
EPS Earnings Per Share
$0.00 $9.59 $8.52 $7.19 $6.29 $5.78 $5.36 $4.76 $4.41 $4.12 $3.98 $3.72 $3.24 $2.82 $2.55 $2.17 $1.88 $2.08 $2.37 $2.28 $2.06
Div. Dividends
$4.46 $3.87 $3.41 $0.84 $0.93 $1.03 $1.14 $1.19 $1.19 $1.28 $1.38 $1.56 $1.81 $2.04 $2.24 $2.40 $2.55 $2.76 $2.99 $3.15
PR % Payout Ratio %
46.51% 45.42% 47.43% 40.78% 40.79% 43.46% 54.81% 63.30% 54.84% 50.20% 48.94% 48.15% 48.66% 51.26% 54.37% 54.42% 53.57% 51.49% 51.73% 50.08%
Sha. Shares
204.39m 204.96m 206.11m 246.59m 240.52m 230.26m 227.05m 227.04m 228m 227.03m 225.21m 223.79m 223.89m 221.04m 216.78m 212.26m 210.86m 209.73m 208.83m 208.23m
OCF Operating Cash Flow
$2.32B $2.33B $2.08B $787.75M $461.76M $723.19M $778.84M $519.56M $1.07B $901.42M $587.87M $1.09B $1.19B $844.38M $1.26B $1.01B $1.25B $1.60B $1.76B $1.70B
FCF Free Cash Flow
$1.61B $1.81B $1.59B $606.02M $280.69M $539.69M $589.14M $256.92M $939.43M $721.89M $256.91M $836.10M $837.49M $467.43M $857.65M $714.00M $991.84M $1.27B $1.45B $1.26B
FCFS Free Cash Flow Per Share
$7.58 $8.80 $7.68 $2.33 $1.09 $2.23 $2.51 $1.04 $4.04 $3.07 $1.15 $3.63 $3.75 $2.13 $4.11 $3.47 $4.67 $6.05 $6.90 $6.04