$14.15
$-0.04 (-0.28%)
End-of-day quote: 05/24/2024
NYSE:SFL

SFL 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
$744.33M $664.57M $509.04M $466.43M $456.05M $416.84M $379.13M $410.36M $404.84M $323.04M $268.80M $317.83M $294.82M $307.58M $312.01M $346.62M $343.64M $346.44M $339.67M $377.14M
GM % Gross Margin %
60.53% 69.13% 69.21% 66.63% 70.52% 69.16% 65.24% 66.85% 70.15% 63.02% 60.74% 70.14% 72.50% 73.66% 70.68% 71.18% 69.05% 65.45% 66.49% 71.77%
OM Operating Margin
30.75% 39.46% 40.34% 41.32% 43.38% 42.44% 40.49% 42.30% 49.67% 41.18% 36.96% 50.42% 52.32% 59.74% 57.14% 60.32% 61.31% 59.16% 62.77% 61.58%
EPS Earnings Per Share
$0.00 $0.65 $1.21 $1.05 $0.98 $1.41 $1.13 $1.03 $1.62 $2.60 $1.54 $1.00 $1.66 $1.61 $2.26 $2.32 $2.97 $2.13 $2.48 $2.86 $3.52
Div. Dividends
$0.98 $0.88 $0.68 $0.80 $1.40 $1.40 $1.50 $1.80 $1.77 $1.65 $1.57 $1.56 $1.56 $1.34 $1.20 $2.29 $2.19 $2.09 $2.00 $1.55
PR % Payout Ratio %
150.77% 72.73% 64.76% 81.63% 99.29% 123.89% 145.63% 111.11% 68.08% 107.14% 157.00% 93.98% 96.89% 59.29% 51.72% 77.10% 102.82% 84.27% 69.93% 44.03%
Sha. Shares
125.7m 138.56m 126.79m 116.04m 107.63m 107.61m 102.93m 93.5m 93.47m 93.4m 93.26m 85.23m 79.13m 79.13m 79.13m 72.74m 72.74m 72.74m 73.14m 74.9m
OCF Operating Cash Flow
$343.09M $355.13M $293.60M $276.48M $249.71M $200.98M $177.80M $230.07M $258.40M $132.40M $140.12M $86.57M $163.66M $153.77M $125.52M $211.39M $202.42M $210.16M $280.83M $178.53M
FCF Free Cash Flow
$233.50M $-143.96M $-95.46M $221.46M $79.83M $-665.59M $96.13M $190.67M $52.62M $110.46M $30.79M $-80.98M $-181.08M $-37.54M $54.05M $128.79M $-279.25M $-64.25M $201.06M $170.16M
FCFS Free Cash Flow Per Share
$0.62 $-1.95 $-2.36 $2.03 $1.95 $-8.85 $1.01 $0.45 $-2.55 $-2.82 $0.34 $-1.00 $-1.82 $-0.47 $0.73 $1.77 $-3.84 $-0.88 $2.72 $2.28