$222.24
+ $0.09 (0.04%)
End-of-day quote: 05/16/2024
NYSE:IEX

IDEX 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
$3.27B $3.18B $2.76B $901.07M $1.01B $1.15B $1.36B $1.49B $1.33B $1.51B $1.84B $1.95B $2.02B $2.15B $2.02B $2.11B $2.29B $2.48B $2.49B $2.35B
GM % Gross Margin %
44.24% 45.11% 44.71% 40.33% 40.94% 41.34% 41.67% 40.11% 39.29% 40.88% 40.18% 41.17% 43.24% 44.26% 44.92% 44.74% 44.89% 45.01% 45.23% 43.86%
OM Operating Margin
23.02% 24.80% 23.99% 16.57% 17.90% 18.81% 18.61% 17.06% 14.81% 17.20% 17.41% 18.57% 19.70% 20.85% 21.58% 21.33% 21.83% 23.40% 24.11% 22.86%
EPS Earnings Per Share
$0.00 $8.22 $8.12 $6.30 $5.19 $5.80 $5.41 $4.31 $3.75 $3.55 $3.57 $3.09 $2.68 $2.56 $1.99 $1.53 $1.98 $1.89 $1.65 $1.39 $1.12
Div. Dividends
$2.56 $2.40 $2.16 $0.30 $0.21 $0.40 $0.48 $0.48 $0.48 $0.60 $0.68 $0.80 $0.92 $1.12 $1.28 $1.36 $1.48 $1.72 $2.00 $2.00
PR % Payout Ratio %
31.14% 29.56% 34.29% 26.79% 15.11% 24.24% 25.40% 24.24% 31.37% 30.15% 26.56% 29.85% 29.77% 31.37% 36.06% 36.27% 34.34% 31.79% 34.48% 38.54%
Sha. Shares
75.73m 75.61m 76.2m 76.23m 79.19m 80.55m 81.58m 80.3m 80.97m 82.07m 83.23m 82.73m 81.2m 78.77m 76.53m 76.44m 76.69m 75.95m 76.09m 75.96m
OCF Operating Cash Flow
$716.70M $557.40M $565.30M $143.06M $144.89M $160.02M $198.13M $223.06M $212.53M $184.48M $217.24M $326.18M $401.52M $367.96M $360.32M $399.92M $432.75M $479.35M $528.06M $569.27M
FCF Free Cash Flow
$653.49M $489.40M $492.60M $122.22M $122.36M $138.82M $173.63M $195.22M $187.47M $187.20M $226.00M $294.80M $369.99M $319.96M $321.81M $361.68M $388.90M $423.26M $477.15M $518.00M
FCFS Free Cash Flow Per Share
$8.29 $6.46 $6.48 $1.63 $1.59 $1.75 $2.15 $2.41 $2.35 $1.90 $2.22 $3.51 $4.54 $4.01 $4.10 $4.77 $5.10 $5.49 $6.31 $6.84