$116.57
+ $1.16 (1.01%)
End-of-day quote: 05/07/2024
NYSE:INGR

Ingredion 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
$8.16B $7.95B $6.89B $5.99B $6.21B $6.29B $6.24B $5.70B $5.62B $5.67B $6.33B $6.53B $6.22B $4.37B $3.67B $3.94B $3.39B $2.62B $2.36B $2.28B
GM % Gross Margin %
21.43% 18.80% 19.31% 21.35% 21.13% 21.75% 23.72% 24.56% 22.27% 19.67% 17.87% 18.95% 18.11% 16.58% 14.16% 17.88% 17.28% 15.87% 14.07% 15.51%
OM Operating Margin
11.78% 9.67% 9.98% 10.91% 11.24% 12.26% 14.09% 14.50% 12.44% 10.60% 9.69% 10.75% 10.51% 9.09% 7.52% 11.28% 10.06% 8.51% 7.63% 8.67%
EPS Earnings Per Share
$0.00 $9.42 $7.45 $6.67 $6.23 $6.65 $6.92 $7.70 $7.13 $5.88 $5.20 $5.05 $5.57 $4.68 $3.24 $2.01 $3.66 $2.54 $1.63 $1.19 $1.30
Div. Dividends
$2.98 $2.76 $2.57 $2.54 $2.51 $2.45 $2.20 $1.90 $1.74 $1.68 $1.56 $0.92 $0.66 $0.56 $0.56 $0.54 $0.40 $0.33 $0.28 $0.13
PR % Payout Ratio %
31.63% 37.05% 38.53% 40.77% 37.74% 35.40% 28.57% 26.65% 29.59% 32.31% 30.89% 16.52% 14.10% 17.28% 27.86% 14.75% 15.75% 20.25% 23.53% 10.00%
Sha. Shares
65.24m 65.69m 66.66m 67.02m 66.82m 66.53m 71.99m 72.41m 71.62m 71.32m 74.31m 77.03m 75.88m 76.02m 74.39m 74.04m 73.25m 73.08m 72.56m 73.3m
OCF Operating Cash Flow
$1.06B $152.00M $392.00M $829.00M $680.00M $703.00M $769.00M $771.00M $686.00M $731.00M $619.00M $732.00M $300.00M $394.00M $586.00M $-79.00M $258.00M $230.00M $245.00M $166.00M
FCF Free Cash Flow
$390.00M $-148.00M $110.00M $496.00M $352.00M $354.00M $463.00M $488.00M $409.00M $460.00M $321.00M $428.00M $40.00M $238.00M $440.00M $-307.00M $81.00M $59.00M $102.00M $62.00M
FCFS Free Cash Flow Per Share
$11.23 $-2.24 $1.37 $7.28 $5.26 $4.98 $6.32 $6.74 $5.67 $6.18 $4.17 $5.48 $0.48 $3.11 $5.87 $-4.12 $1.08 $0.80 $1.37 $0.84