$461.91
$0.00 (0.00%)
End-of-day quote: 05/04/2024
NYSE:LMT

Lockheed Martin Annual Report

Year Year 2023 2021 2022 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020
Rev. Revenue
$67.57B $67.04B $65.98B $35.53B $37.21B $39.62B $41.86B $41.37B $43.87B $45.67B $46.50B $47.18B $45.36B $39.95B $40.54B $47.29B $49.96B $53.76B $59.81B $65.40B
GM % Gross Margin %
12.68% 13.57% 12.71% 8.11% 8.98% 9.92% 10.11% 11.06% 9.45% 8.90% 8.34% 8.99% 10.15% 11.72% 11.28% 11.59% 12.75% 13.71% 13.99% 13.27%
OM Operating Margin
13.41% 11.67% 11.32% 5.50% 6.83% 8.61% 10.16% 11.51% 9.32% 8.79% 8.22% 8.91% 10.14% 11.73% 11.35% 10.42% 11.19% 12.15% 12.87% 13.57%
EPS Earnings Per Share
$0.00 $27.82 $27.23 $27.48 $24.50 $21.95 $17.59 $13.33 $12.38 $11.32 $11.40 $9.58 $8.46 $7.84 $7.82 $7.78 $7.55 $7.10 $5.80 $3.93 $2.85
Div. Dividends
$12.15 $10.60 $11.40 $0.91 $1.05 $1.25 $1.47 $1.83 $2.34 $2.64 $3.25 $4.15 $5.98 $5.49 $6.15 $6.77 $7.46 $8.20 $9.00 $9.80
PR % Payout Ratio %
43.67% 38.57% 41.87% 31.93% 26.72% 21.55% 20.70% 24.24% 30.08% 33.76% 41.45% 49.05% 62.42% 48.16% 54.33% 54.68% 55.96% 46.62% 41.00% 40.00%
Sha. Shares
242m 271m 254m 438m 432m 421m 409m 393m 373m 346m 321m 321m 319m 314m 303m 290m 285m 281m 280m 279m
OCF Operating Cash Flow
$7.92B $9.22B $7.80B $2.92B $3.19B $3.77B $4.24B $4.42B $3.49B $3.80B $4.25B $1.56B $4.55B $3.87B $5.10B $5.19B $6.48B $3.14B $7.31B $8.18B
FCF Free Cash Flow
$6.23B $7.70B $6.13B $2.16B $2.33B $2.87B $3.30B $3.50B $2.64B $2.73B $3.44B $619.00M $3.71B $3.02B $4.16B $4.13B $5.30B $1.86B $5.83B $6.42B
FCFS Free Cash Flow Per Share
$24.89 $27.85 $23.25 $4.86 $5.29 $6.71 $7.93 $8.74 $6.03 $7.49 $9.72 $1.91 $11.56 $9.54 $13.41 $13.79 $18.41 $6.54 $20.66 $22.92