$469.09
$-0.23 (-0.05%)
End-of-day quote: 05/03/2024
NYSE:NOC

Northrop Grumman Corp Annual Report

Year Year 2023 2022 2021 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020
Rev. Revenue
$39.29B $36.60B $35.67B $29.00B $29.98B $29.99B $30.34B $32.32B $27.65B $28.14B $26.41B $25.22B $24.66B $23.98B $23.53B $24.71B $26.00B $30.10B $33.84B $36.80B
GM % Gross Margin %
16.67% 20.42% 20.38% 15.96% 16.95% 18.33% 19.73% 18.38% 17.66% 18.81% 21.30% 22.13% 21.81% 23.36% 23.98% 23.92% 22.80% 22.66% 21.45% 20.32%
OM Operating Margin
6.73% 17.32% 21.01% 6.85% 7.34% 8.32% 9.64% 8.66% 8.36% 10.05% 12.40% 12.41% 12.66% 13.33% 13.07% 11.89% 17.12% 13.97% 8.77% 11.49%
EPS Earnings Per Share
$0.00 $23.29 $25.54 $25.63 $23.65 $21.21 $18.49 $13.28 $12.19 $10.39 $9.75 $8.35 $7.81 $7.41 $7.06 $4.87 $5.21 $5.10 $4.61 $3.55 $3.03
Div. Dividends
$7.27 $6.76 $6.16 $0.89 $1.01 $1.16 $1.48 $1.57 $1.69 $1.84 $1.97 $2.15 $2.38 $2.71 $3.10 $3.50 $3.90 $4.70 $5.16 $5.67
PR % Payout Ratio %
31.22% 26.47% 24.03% 29.37% 28.45% 25.16% 29.02% 30.13% 34.70% 26.06% 26.59% 27.53% 28.50% 27.79% 29.84% 28.71% 29.37% 25.42% 24.33% 23.97%
Sha. Shares
150.11m 153.16m 156.28m 364.43m 347.36m 345.92m 337.83m 327.01m 306.87m 290.96m 253.89m 239.21m 217.6m 198.93m 181.3m 175.07m 174.09m 170.61m 167.85m 166.72m
OCF Operating Cash Flow
$3.88B $2.90B $3.57B $1.94B $2.63B $1.76B $2.89B $3.21B $2.13B $2.45B $2.12B $2.64B $2.48B $2.59B $2.16B $2.81B $2.61B $3.83B $4.30B $4.31B
FCF Free Cash Flow
$2.07B $1.47B $2.15B $1.26B $1.80B $1.02B $2.21B $2.53B $1.48B $1.68B $1.63B $2.31B $2.12B $2.03B $1.69B $1.89B $1.69B $2.58B $3.03B $2.89B
FCFS Free Cash Flow Per Share
$13.86 $9.46 $13.42 $3.51 $5.06 $2.96 $6.46 $7.56 $5.20 $6.29 $5.86 $9.29 $9.23 $9.73 $8.93 $10.58 $9.66 $14.84 $17.91 $17.27