$75.45
$0.00 (0.00%)
End-of-day quote: 05/03/2024
NYSE:MKC

McCormick & Company Annual Report

Year Year 2023 2022 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021
Rev. Revenue
$6.66B $6.35B $2.53B $2.59B $2.72B $2.92B $3.18B $3.19B $3.34B $3.70B $4.01B $4.12B $4.24B $4.30B $4.41B $4.73B $5.30B $5.35B $5.60B $6.32B
GM % Gross Margin %
37.56% 35.82% 39.90% 39.99% 41.46% 40.98% 40.69% 41.66% 42.49% 41.18% 40.30% 40.40% 40.78% 40.53% 41.53% 38.37% 39.48% 40.12% 41.07% 39.66%
OM Operating Margin
15.37% 14.60% 13.07% 13.68% 13.02% 13.31% 13.29% 15.13% 15.28% 14.91% 14.45% 14.43% 14.33% 14.37% 14.89% 16.62% 17.77% 18.63% 18.37% 17.54%
EPS Earnings Per Share
$0.00 $2.64 $2.53 $3.05 $2.83 $2.68 $2.49 $2.13 $1.89 $1.74 $1.69 $1.57 $1.52 $1.40 $1.33 $1.18 $1.07 $0.96 $0.86 $0.81 $0.76
Div. Dividends
$1.57 $1.48 $0.28 $0.32 $0.36 $0.40 $0.44 $0.48 $0.52 $0.56 $0.62 $0.68 $0.74 $0.80 $0.86 $0.94 $1.04 $1.14 $1.24 $1.36
PR % Payout Ratio %
59.47% 58.50% 36.84% 39.51% 41.86% 41.67% 41.12% 40.68% 39.10% 40.00% 40.79% 43.31% 43.79% 45.98% 45.50% 44.13% 41.77% 42.54% 43.82% 44.59%
Sha. Shares
268.4m 268m 271m 265.2m 260.2m 255.6m 260.2m 263.6m 266.2m 265.8m 265m 262.2m 256.8m 254.6m 250.6m 262m 264.2m 265.8m 266.9m 267.3m
OCF Operating Cash Flow
$1.24B $651.50M $342.40M $332.20M $310.80M $224.50M $314.60M $415.80M $387.50M $340.00M $455.00M $465.20M $503.60M $590.00M $658.10M $815.30M $821.20M $946.80M $1.04B $828.30M
FCF Free Cash Flow
$778.00M $389.50M $279.70M $265.40M $226.00M $146.00M $228.80M $333.40M $298.50M $302.10M $344.70M $365.30M $370.90M $461.60M $504.30M $632.90M $652.10M $773.10M $816.00M $550.00M
FCFS Free Cash Flow Per Share
$3.63 $1.50 $1.02 $0.99 $0.86 $0.56 $0.89 $1.27 $1.12 $0.92 $1.30 $1.38 $1.43 $1.80 $1.99 $2.50 $2.48 $2.92 $3.06 $2.06