$177.26
$0.00 (0.00%)
End-of-day quote: 04/26/2024
NasdaqGS:LSTR

Landstar System 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
$5.31B $7.44B $6.54B $4.14B $4.09B $4.62B $3.65B $3.17B $3.32B $3.19B $2.67B $2.77B $2.63B $2.40B $2.01B $2.65B $2.49B $2.52B $2.52B $2.02B
GM % Gross Margin %
21.28% 20.29% 20.19% 20.69% 21.56% 21.07% 21.41% 21.97% 21.74% 21.30% 21.34% 21.81% 22.04% 21.99% 22.92% 21.79% 22.41% 23.34% 23.40% 22.26%
OM Operating Margin
6.39% 7.64% 7.70% 6.79% 7.28% 7.16% 6.66% 6.93% 7.27% 6.97% 6.50% 7.14% 6.86% 6.03% 5.66% 7.06% 7.34% 7.58% 7.67% 5.62%
EPS Earnings Per Share
$0.00 $7.36 $11.76 $9.98 $5.34 $5.72 $6.18 $3.69 $3.25 $3.37 $3.07 $2.36 $2.77 $2.38 $1.82 $1.37 $2.10 $1.99 $1.93 $1.98 $1.16
Div. Dividends
$1.17 $1.10 $0.92 $0.79 $0.70 $0.63 $0.38 $0.34 $0.30 $0.26 $0.35 $0.73 $0.21 $0.19 $0.17 $0.16 $0.14 $0.11 $0.05 $0.00
PR % Payout Ratio %
15.90% 9.35% 9.22% 14.79% 12.24% 10.19% 10.30% 10.46% 8.90% 8.47% 14.83% 26.35% 8.82% 10.44% 12.41% 7.62% 7.04% 5.70% 2.53% 0
Sha. Shares
35.72m 35.93m 37.69m 38.39m 39.47m 40.12m 41.99m 41.84m 42.42m 44.79m 45.49m 46.45m 46.72m 47.86m 50.23m 51.68m 52.51m 55.97m 58.81m 60.66m
OCF Operating Cash Flow
$393.65M $622.66M $276.74M $210.72M $307.84M $297.90M $138.96M $190.24M $216.02M $101.87M $162.01M $125.58M $118.03M $108.76M $144.96M $119.69M $140.61M $292.17M $-0.51M $42.90M
FCF Free Cash Flow
$332.55M $596.65M $253.48M $180.09M $288.42M $288.15M $123.38M $167.60M $211.22M $91.33M $155.98M $118.51M $113.70M $81.25M $142.24M $111.40M $134.10M $288.00M $-4.37M $36.52M
FCFS Free Cash Flow Per Share
$10.24 $16.29 $6.63 $4.67 $7.25 $6.98 $2.94 $3.98 $4.84 $2.03 $3.38 $2.57 $2.41 $1.64 $2.78 $2.12 $2.45 $4.98 $-0.07 $0.61