$122.29
$0.00 (0.00%)
End-of-day quote: 04/27/2024
NYSE:ALV

Autoliv 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
$10.48B $8.84B $8.23B $7.45B $8.55B $8.68B $8.14B $7.92B $9.17B $9.24B $8.80B $8.27B $8.23B $7.17B $5.12B $6.47B $6.77B $6.19B $6.20B $6.14B
GM % Gross Margin %
17.38% 15.79% 18.36% 16.74% 18.54% 19.72% 20.64% 20.55% 20.11% 19.52% 19.36% 19.91% 20.99% 22.22% 16.66% 17.49% 19.66% 20.45% 20.44% 19.88%
OM Operating Margin
8.48% 6.47% 8.26% 6.29% 11.39% 10.42% 10.73% 10.69% 8.84% 8.26% 9.05% 9.44% 10.86% 12.42% 3.95% 5.96% 8.21% 8.62% 8.58% 8.40%
EPS Earnings Per Share
$0.00 $8.19 $4.40 $5.02 $3.15 $5.72 $6.83 $6.58 $6.75 $6.65 $5.94 $5.82 $5.82 $6.74 $6.57 $1.26 $3.04 $4.04 $3.69 $3.50 $3.40
Div. Dividends
$2.66 $2.55 $1.88 $0.62 $2.48 $2.46 $2.38 $2.30 $2.22 $2.12 $2.00 $1.89 $1.73 $0.65 $0.21 $1.60 $1.54 $1.36 $1.17 $0.75
PR % Payout Ratio %
32.48% 57.95% 37.45% 19.68% 43.36% 36.02% 36.17% 34.07% 33.38% 35.69% 34.36% 32.47% 25.67% 9.89% 16.67% 52.63% 38.12% 36.86% 33.43% 22.06%
Sha. Shares
82.64m 86.19m 87.5m 87.4m 87.25m 87.14m 87m 88.2m 88.1m 88.7m 94.4m 95.5m 89.3m 89m 85.1m 70.3m 73.8m 80.1m 83.7m 92m
OCF Operating Cash Flow
$982.00M $713.00M $754.00M $848.90M $640.70M $590.60M $935.90M $868.40M $750.50M $712.70M $837.90M $688.50M $758.20M $924.40M $492.60M $613.60M $780.80M $559.80M $478.90M $680.20M
FCF Free Cash Flow
$310.87M $128.00M $300.00M $509.30M $164.60M $35.80M $366.30M $369.80M $300.90M $259.30M $458.60M $328.10M $401.20M $689.00M $362.20M $334.50M $466.60M $264.90M $168.40M $356.00M
FCFS Free Cash Flow Per Share
$4.81 $1.47 $3.38 $5.79 $1.80 $0.35 $4.07 $4.09 $2.95 $2.77 $4.72 $3.46 $4.38 $7.88 $4.33 $4.45 $5.84 $2.79 $1.82 $3.80