$26.00
$-0.01 (-0.04%)
End-of-day quote: 05/17/2024
NYSE:KMT

Kennametal 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
$2.08B $2.01B $1.84B $1.89B $2.38B $2.37B $2.06B $2.10B $2.65B $2.84B $2.59B $2.74B $2.40B $1.88B $2.00B $2.59B $2.27B $2.33B $2.20B $1.87B
GM % Gross Margin %
31.11% 32.47% 30.62% 28.88% 35.11% 34.78% 31.71% 29.71% 30.81% 31.89% 32.63% 36.34% 37.02% 33.52% 29.37% 35.08% 36.52% 36.03% 35.01% 33.71%
OM Operating Margin
9.58% 11.84% 8.48% 8.37% 15.16% 13.66% 7.42% 5.90% 9.14% 10.18% 11.45% 15.54% 14.28% 7.54% 4.23% 11.67% 12.07% 11.17% 9.46% 7.05%
EPS Earnings Per Share
$0.00 $1.52 $1.78 $1.04 $0.94 $3.02 $2.65 $1.52 $1.11 $2.02 $2.50 $2.49 $3.86 $2.98 $1.10 $0.80 $2.76 $2.28 $1.98 $1.63 $1.08
Div. Dividends
$0.80 $0.80 $0.80 $0.80 $0.80 $0.80 $0.80 $0.80 $0.72 $0.72 $0.64 $0.54 $0.48 $0.48 $0.48 $0.47 $0.41 $0.38 $0.34 $0.00
PR % Payout Ratio %
52.63% 44.94% 76.92% 85.11% 26.49% 30.19% 52.63% 72.07% 35.64% 28.80% 25.70% 13.99% 16.11% 43.64% 60.00% 17.03% 17.98% 19.19% 20.86% 0
Sha. Shares
79.84m 81.34m 83.61m 82.92m 82.42m 81.65m 80.67m 79.69m 79.38m 78.67m 77.84m 80.09m 81.13m 81.9m 73.23m 76.86m 77.97m 77.21m 76.25m 73.27m
OCF Operating Cash Flow
$257.95M $181.44M $235.68M $223.74M $300.52M $277.30M $195.34M $222.49M $351.44M $271.87M $284.15M $289.58M $230.80M $164.83M $192.26M $279.79M $199.01M $19.05M $202.33M $177.86M
FCF Free Cash Flow
$168.59M $84.52M $108.38M $-20.41M $88.18M $106.30M $116.06M $108.63M $266.62M $154.50M $204.33M $186.54M $147.34M $108.15M $87.42M $116.30M $107.01M $-60.54M $113.78M $120.90M
FCFS Free Cash Flow Per Share
$2.02 $1.02 $1.30 $-0.25 $1.07 $1.30 $0.96 $1.40 $3.16 $1.96 $2.53 $2.20 $1.80 $1.34 $1.20 $1.51 $1.39 $-0.79 $1.54 $1.69