$136.09
$0.00 (0.00%)
End-of-day quote: 05/04/2024
NYSE:KMB

Kimberly-Clark 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
$20.43B $20.18B $19.44B $15.08B $15.90B $16.75B $18.27B $19.42B $19.12B $19.75B $20.85B $19.47B $19.56B $19.72B $18.59B $18.29B $18.35B $18.49B $18.45B $19.14B
GM % Gross Margin %
34.42% 30.83% 31.59% 33.60% 33.18% 32.39% 31.23% 30.17% 33.82% 33.17% 31.46% 32.77% 33.79% 34.09% 35.87% 36.62% 35.90% 33.20% 34.96% 37.12%
OM Operating Margin
14.03% 13.01% 14.62% 16.62% 15.83% 15.58% 14.23% 13.15% 16.02% 14.54% 13.55% 14.46% 15.48% 16.74% 18.25% 18.43% 17.91% 17.06% 17.64% 18.80%
EPS Earnings Per Share
$0.00 $6.57 $5.63 $6.18 $7.74 $6.89 $6.61 $6.23 $6.03 $5.76 $5.51 $5.77 $5.25 $4.80 $4.68 $4.74 $4.14 $4.25 $3.90 $3.78 $3.61
Div. Dividends
$4.72 $4.64 $4.56 $1.60 $1.80 $1.96 $2.12 $2.32 $2.40 $2.64 $2.80 $2.96 $3.24 $3.36 $3.52 $3.68 $3.88 $4.00 $4.12 $4.28
PR % Payout Ratio %
71.84% 82.42% 73.79% 44.32% 47.62% 50.26% 49.88% 56.04% 50.63% 56.41% 58.33% 56.38% 56.15% 60.98% 61.11% 61.03% 62.28% 60.51% 59.80% 55.30%
Sha. Shares
337m 337.46m 336.84m 482.9m 461.5m 455.62m 420.9m 413.6m 416.9m 406.9m 395.7m 389.3m 380.8m 365.34m 360.86m 356.57m 351.11m 344.96m 341.4m 338.72m
OCF Operating Cash Flow
$3.54B $2.73B $2.73B $2.76B $2.31B $2.58B $2.43B $2.52B $3.48B $2.74B $2.29B $3.29B $3.04B $2.85B $2.31B $3.23B $2.93B $2.97B $2.74B $3.73B
FCF Free Cash Flow
$2.18B $2.54B $1.72B $2.22B $1.60B $1.61B $1.44B $1.61B $2.63B $1.78B $1.32B $2.20B $2.09B $1.81B $1.25B $2.46B $2.14B $2.09B $1.53B $2.51B
FCFS Free Cash Flow Per Share
$8.22 $5.50 $5.11 $4.49 $3.38 $3.51 $3.25 $3.85 $6.33 $4.32 $3.34 $5.59 $5.43 $4.82 $3.44 $6.85 $6.06 $6.01 $4.44 $7.37