$83.95
$0.00 (0.00%)
End-of-day quote: 05/17/2024
NYSE:PNR

Pentair Annual Report

Year Year 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2023 2022 2021 2020
Rev. Revenue
$2.96B $2.97B $2.85B $2.78B $4.62B $4.67B $7.00B $4.31B $3.46B $3.03B $2.69B $3.35B $3.28B $3.02B $2.95B $2.28B $4.10B $4.12B $3.76B $3.02B
GM % Gross Margin %
35.56% 35.33% 34.70% 34.49% 35.41% 34.72% 35.10% 33.05% 31.06% 30.71% 29.16% 30.27% 30.87% 29.65% 28.78% 28.74% 37.01% 33.84% 35.04% 35.33%
OM Operating Margin
15.12% 15.79% 14.11% 13.18% 15.01% 12.39% 13.48% 7.93% 9.31% 10.33% 9.08% 11.64% 11.55% 10.35% 10.98% 10.85% 19.06% 17.56% 17.42% 15.75%
EPS Earnings Per Share
$0.00 $3.75 $3.68 $3.40 $2.50 $2.38 $2.35 $3.53 $3.05 $3.94 $3.78 $3.21 $2.39 $2.41 $2.00 $1.47 $2.20 $2.08 $1.67 $1.92 $1.35
Div. Dividends
$0.72 $1.05 $1.38 $1.34 $1.28 $1.10 $0.96 $0.88 $0.80 $0.76 $0.72 $0.68 $0.60 $0.56 $0.52 $0.43 $0.88 $0.84 $0.80 $0.76
PR % Payout Ratio %
30.25% 44.68% 39.09% 43.93% 32.49% 29.10% 29.91% 36.82% 33.20% 38.00% 48.98% 30.91% 28.85% 33.53% 27.08% 31.85% 23.47% 22.83% 23.53% 30.40%
Sha. Shares
168.29m 171.36m 180.3m 181.8m 180.5m 182.5m 197.4m 206.1m 98.62m 98.41m 98.66m 98.28m 99.22m 99.78m 101.2m 100.97m 165.33m 164.54m 165.1m 166.06m
OCF Operating Cash Flow
$353.00M $439.10M $620.20M $861.40M $739.30M $1.01B $927.90M $43.70M $320.20M $270.38M $258.37M $204.22M $341.28M $231.46M $247.86M $264.09M $619.20M $363.30M $613.20M $573.60M
FCF Free Cash Flow
$294.50M $386.00M $550.70M $769.80M $605.00M $878.80M $745.30M $-26.57M $248.19M $210.85M $204.23M $151.13M $279.15M $180.38M $185.39M $215.22M $607.68M $278.10M $553.00M $511.40M
FCFS Free Cash Flow Per Share
$1.74 $2.22 $3.20 $4.51 $3.59 $4.85 $3.77 $-0.40 $2.51 $2.15 $2.10 $1.54 $2.83 $1.81 $1.84 $2.17 $3.29 $1.69 $3.34 $3.07