$503.32
$-12.16 (-2.42%)
End-of-day quote: 05/15/2024
NYSE:LII

Lennox International 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
$4.98B $4.72B $4.19B $3.63B $3.81B $3.88B $3.84B $3.64B $3.47B $3.37B $3.20B $2.95B $2.84B $2.59B $2.85B $3.44B $3.69B $3.70B $3.41B $2.98B
GM % Gross Margin %
31.07% 27.23% 28.34% 28.62% 28.36% 28.61% 29.31% 29.56% 27.32% 26.85% 26.92% 24.49% 23.58% 27.12% 27.68% 27.16% 26.74% 25.81% 27.75% 33.44%
OM Operating Margin
16.64% 13.80% 13.83% 13.43% 12.82% 12.82% 12.66% 11.58% 10.41% 9.71% 9.03% 7.30% 6.65% 8.17% 5.14% 6.73% 6.94% 6.18% 6.40% 5.44%
EPS Earnings Per Share
$0.00 $17.96 $14.07 $12.60 $9.94 $11.19 $9.42 $7.92 $6.95 $5.14 $4.38 $3.70 $2.70 $2.04 $2.40 $1.77 $2.71 $2.50 $2.18 $1.83 $1.39
Div. Dividends
$4.17 $4.10 $3.53 $3.08 $2.95 $2.43 $1.96 $1.65 $1.38 $1.14 $0.92 $0.76 $0.72 $0.60 $0.56 $0.56 $0.53 $0.46 $0.41 $0.00
PR % Payout Ratio %
23.22% 29.14% 28.02% 30.99% 26.36% 25.80% 24.75% 23.74% 26.85% 26.03% 24.86% 28.15% 35.29% 25.00% 31.64% 20.66% 21.20% 21.10% 22.40% 0
Sha. Shares
35.58m 35.47m 36.63m 38.35m 38.59m 39.86m 41.81m 42.97m 44.68m 44.64m 49.1m 50.26m 50.84m 53.7m 56.27m 55.11m 62.05m 67.16m 71.04m 63.32m
OCF Operating Cash Flow
$736.20M $302.30M $515.50M $612.40M $396.10M $495.50M $325.10M $373.90M $353.60M $184.80M $210.30M $221.40M $76.20M $185.80M $225.50M $183.20M $239.90M $200.70M $228.70M $60.20M
FCF Free Cash Flow
$379.46M $201.20M $408.70M $533.90M $290.50M $400.30M $227.00M $270.20M $261.30M $96.40M $132.00M $171.20M $33.00M $140.00M $166.70M $122.10M $171.50M $126.90M $165.40M $19.90M
FCFS Free Cash Flow Per Share
$13.69 $5.64 $10.99 $13.94 $7.45 $9.86 $5.37 $6.67 $6.32 $2.01 $2.65 $3.38 $0.66 $2.61 $3.00 $2.14 $2.56 $1.80 $2.58 $0.33