$33.83
$0.00 (0.00%)
End-of-day quote: 04/27/2024
NYSE:IP

International Paper Co 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
$18.92B $21.16B $19.36B $20.72B $21.70B $22.00B $21.89B $24.83B $23.37B $25.18B $26.03B $21.85B $23.48B $23.62B $20.68B $19.50B $21.74B $23.31B $22.38B $20.58B
GM % Gross Margin %
27.95% 28.44% 28.56% 26.63% 24.73% 26.13% 26.63% 24.67% 27.59% 26.60% 27.17% 30.13% 30.66% 31.18% 30.77% 31.26% 31.92% 33.26% 31.77% 30.16%
OM Operating Margin
5.99% 9.20% 8.60% 5.95% 4.93% 6.60% 7.81% 5.67% 6.76% 7.15% 8.91% 9.03% 9.00% 10.43% 10.88% 7.62% 8.48% 10.59% 10.68% 8.35%
EPS Earnings Per Share
$0.00 $2.16 $3.88 $3.20 $2.80 $4.43 $5.32 $3.60 $3.35 $3.65 $3.04 $3.16 $2.65 $3.10 $2.05 $0.88 $2.01 $2.22 $1.33 $1.08 $1.30
Div. Dividends
$1.85 $1.85 $2.00 $1.00 $1.00 $1.00 $1.00 $1.00 $0.33 $0.40 $0.98 $1.09 $1.25 $1.45 $1.64 $1.78 $1.86 $1.93 $2.01 $2.05
PR % Payout Ratio %
85.65% 47.68% 62.50% 76.92% 92.59% 75.19% 45.05% 49.75% 37.50% 19.51% 31.61% 41.13% 39.56% 47.70% 44.93% 53.13% 51.67% 36.28% 45.37% 73.21%
Sha. Shares
346.04m 350.28m 378.55m 487.5m 490.39m 453.5m 425.12m 427.5m 433.16m 437.64m 436.95m 439.88m 436.35m 420.12m 412.14m 411.23m 412.94m 400.61m 392.12m 393.1m
OCF Operating Cash Flow
$1.83B $2.17B $2.03B $2.39B $1.51B $1.22B $1.89B $2.67B $4.66B $1.63B $2.68B $2.97B $3.03B $3.08B $2.58B $2.48B $1.76B $3.23B $3.61B $3.06B
FCF Free Cash Flow
$630.81M $1.24B $1.48B $1.46B $518.00M $-923.00M $599.00M $1.67B $4.12B $856.00M $1.52B $1.58B $1.83B $1.71B $1.84B $1.13B $1.97B $1.65B $2.33B $2.31B
FCFS Free Cash Flow Per Share
$1.99 $3.42 $3.80 $3.01 $1.07 $-1.94 $1.40 $3.96 $9.69 $1.99 $3.51 $3.64 $4.13 $4.00 $2.62 $2.75 $0.89 $4.04 $5.90 $5.88