$206.24
+ $1.58 (0.77%)
End-of-day quote: 05/02/2024
NYSE:STE

STERIS Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Rev. Revenue
$4.96B $4.59B $3.11B $3.03B $2.78B $2.62B $2.61B $2.23B $1.84B $1.61B $1.50B $1.41B $1.21B $1.26B $1.30B $1.27B $1.20B $1.16B $1.08B
GM % Gross Margin %
43.56% 43.98% 43.22% 43.55% 42.23% 41.71% 39.28% 40.10% 42.03% 40.73% 41.37% 40.41% 36.96% 42.83% 41.37% 40.69% 41.11% 41.73% 42.70%
OM Operating Margin
15.80% 13.77% 18.70% 18.01% 16.79% 15.89% 12.05% 13.21% 14.39% 14.13% 15.01% 15.85% 8.81% 16.55% 14.59% 11.31% 12.05% 11.64% 13.07%
EPS Earnings Per Share
$0.00 $8.20 $8.20 $7.92 $6.17 $5.64 $4.89 $4.15 $3.76 $3.33 $2.99 $2.48 $2.34 $2.16 $2.19 $2.21 $1.92 $1.39 $1.25 $1.14 $1.23
Div. Dividends
$1.84 $1.69 $1.57 $1.45 $1.33 $1.21 $1.09 $0.98 $0.90 $0.82 $0.76 $0.66 $0.56 $2.44 $0.30 $0.23 $0.18 $0.16 $0.00
PR % Payout Ratio %
22.44% 21.34% 25.45% 25.71% 27.20% 29.16% 28.99% 29.43% 30.10% 33.06% 32.48% 30.56% 25.57% 110.41% 15.63% 16.55% 14.40% 14.04% 0
Sha. Shares
98.63m 100.07m 85.35m 84.92m 84.52m 84.75m 84.95m 85.92m 59.68m 58.97m 58.76m 57.73m 59.12m 59.23m 58.45m 59.26m 64.98m 66.98m 69.63m
OCF Operating Cash Flow
$756.95M $684.81M $689.64M $590.56M $539.51M $457.63M $424.09M $254.68M $246.04M $209.63M $227.82M $149.37M $117.74M $224.95M $167.38M $143.40M $95.74M $161.96M $148.87M
FCF Free Cash Flow
$394.98M $397.25M $450.38M $380.20M $355.36M $294.27M $256.03M $129.11M $160.78M $123.26M $140.40M $82.70M $41.60M $180.86M $126.49M $86.43M $46.72M $110.79M $92.70M
FCFS Free Cash Flow Per Share
$3.96 $4.07 $5.29 $4.44 $4.14 $3.44 $2.94 $1.81 $2.71 $2.09 $2.41 $1.42 $0.68 $3.07 $2.15 $1.37 $0.72 $1.62 $1.34