$34.42
$0.00 (0.00%)
End-of-day quote: 05/18/2024
NYSE:KRC

Kilroy Realty Annual Report

Year Year 2022 2021 2023 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
$1.10B $955.04M $1.13B $898.40M $837.45M $747.30M $719.00M $637.57M $581.28M $514.93M $451.91M $372.42M $310.42M $254.99M $264.80M $284.36M $255.08M $241.14M $225.71M $212.51M
GM % Gross Margin %
70.73% 71.77% 68.92% 70.98% 69.69% 71.79% 71.80% 72.63% 72.51% 70.82% 69.24% 69.48% 68.97% 69.46% 72.73% 74.28% 74.50% 75.37% 76.27% 76.18%
OM Operating Margin
29.60% 29.60% 29.20% 28.68% 26.55% 24.90% 28.72% 29.62% 28.97% 23.85% 18.58% 19.30% 22.43% 22.45% 28.30% 30.13% 31.45% 37.10% 18.68% 32.89%
EPS Earnings Per Share
$4.59 $4.65 $3.79 $3.74 $3.86 $3.51 $3.40 $3.45 $3.39 $2.78 $2.62 $2.26 $2.23 $2.06 $2.62 $3.42 $3.15 $3.44 $2.29 $2.58
Div. Dividends
$2.12 $2.04 $2.16 $1.97 $1.91 $1.82 $1.65 $3.38 $1.40 $1.40 $1.40 $1.40 $1.40 $1.40 $1.63 $2.32 $2.22 $2.12 $2.04 $1.98
PR % Payout Ratio %
45.59% 53.83% 47.06% 52.67% 49.48% 51.85% 48.53% 97.97% 41.30% 50.36% 53.44% 61.95% 62.78% 67.96% 62.21% 67.84% 70.48% 61.63% 89.08% 76.74%
Sha. Shares
116.88m 116.46m 117.24m 116.04m 106.02m 100.75m 98.6m 93.18m 92.2m 86.17m 82.11m 74.83m 58.74m 52.3m 43.06m 32.86m 32.53m 32.25m 28.82m 28.55m
OCF Operating Cash Flow
$592.24M $516.40M $602.59M $455.59M $386.52M $410.04M $347.01M $345.05M $272.01M $245.25M $240.58M $180.72M $138.26M $119.83M $124.97M $144.48M $147.50M $61.57M $116.00M $120.51M
FCF Free Cash Flow
$459.40M $-157.05M $584.26M $0.00M $-841.76M $410.04M $347.01M $0.00M $172.45M $40.71M $0.00M $180.72M $138.26M $119.83M $0.00M $0.00M $0.00M $0.00M $0.00M $0.00M
FCFS Free Cash Flow Per Share
$5.07 $4.44 $5.14 $4.02 $3.75 $4.10 $3.46 $3.59 $2.88 $2.79 $2.94 $2.39 $2.27 $2.23 $2.98 $4.15 $4.26 $1.66 $3.52 $3.80