$180.00
$0.00 (0.00%)
End-of-day quote: 06/01/2024
NYSE:MSA

MSA Safety 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
$1.79B $1.53B $1.40B $1.35B $1.40B $1.36B $1.20B $1.15B $1.13B $1.13B $1.11B $1.11B $1.11B $976.63M $909.99M $1.13B $990.25M $913.71M $907.91M $852.51M
GM % Gross Margin %
47.67% 44.10% 43.95% 43.79% 45.41% 45.05% 45.03% 45.43% 44.31% 45.45% 44.68% 44.09% 41.19% 38.15% 37.00% 38.14% 37.77% 37.79% 38.44% 39.22%
OM Operating Margin
22.52% 20.46% 17.78% 18.12% 18.59% 17.63% 16.44% 15.07% 12.80% 12.73% 12.75% 12.23% 10.90% 8.54% 8.47% 11.20% 10.37% 11.34% 13.84% 13.25%
EPS Earnings Per Share
$0.00 $7.03 $5.65 $4.68 $4.50 $4.80 $4.50 $3.65 $2.77 $2.52 $2.55 $2.54 $2.56 $2.13 $1.48 $1.40 $2.03 $1.97 $1.83 $2.19 $1.86
Div. Dividends
$1.82 $1.82 $0.00 $1.71 $1.64 $1.49 $1.38 $1.31 $1.27 $1.23 $1.18 $1.38 $1.03 $0.99 $0.00 $0.94 $0.00 $0.68 $0.52 $0.37
PR % Payout Ratio %
25.89% 32.21% 0 38.00% 34.17% 33.11% 37.81% 47.29% 50.40% 48.24% 46.46% 53.91% 48.36% 66.89% 0 46.31% 0 37.16% 23.74% 19.89%
Sha. Shares
39.32m 39.21m 39.28m 39.07m 38.84m 38.53m 38.22m 37.74m 37.37m 37.45m 37.2m 37.01m 36.69m 36.52m 35.97m 35.79m 35.66m 36.02m 36.55m 37.34m
OCF Operating Cash Flow
$92.86M $157.46M $199.15M $206.56M $164.96M $263.89M $230.34M $134.89M $55.25M $107.03M $110.78M $150.48M $85.26M $31.61M $120.85M $59.79M $41.35M $62.84M $86.00M $48.90M
FCF Free Cash Flow
$170.89M $114.90M $155.31M $157.65M $128.36M $229.93M $206.61M $109.37M $19.01M $73.45M $74.26M $67.28M $68.60M $6.58M $95.11M $15.34M $8.47M $40.11M $64.34M $21.57M
FCFS Free Cash Flow Per Share
$1.27 $2.93 $3.96 $4.05 $3.32 $5.99 $5.44 $2.92 $0.51 $1.98 $2.01 $3.23 $1.51 $0.18 $2.67 $0.43 $0.24 $1.10 $1.76 $0.58