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End-of-day quote: 05/18/2024
NYSE:TNP

Tsakos Energy Navigation Annual Report

Year Year 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
$860.40M $546.12M $644.14M $597.45M $529.88M $529.18M $481.79M $587.72M $501.01M $418.38M $393.99M $395.16M $408.01M $444.93M $623.04M $500.62M $427.65M $295.62M $318.28M
GM % Gross Margin %
49.68% 26.50% 46.27% 46.97% 40.01% 45.66% 47.50% 53.38% 39.91% 36.89% 36.56% 33.72% 46.50% 48.52% 60.58% 60.25% 59.20% 59.47% 59.44%
OM Operating Margin
29.85% -5.07% 20.71% 18.99% 7.21% 14.41% 18.67% 31.67% 15.21% 7.97% 4.29% -0.68% 15.63% 19.57% 39.25% 35.61% 38.43% 39.54% 40.49%
EPS Earnings Per Share
$0.00 $7.78 $5.98 $-4.83 $1.07 $-0.03 $-3.82 $-0.20 $2.35 $8.45 $1.60 $-0.65 $-3.15 $-5.97 $0.40 $5.75 $22.05 $14.95 $17.45 $14.73 $15.98
Div. Dividends
$0.25 $0.20 $0.00 $0.00 $1.00 $1.00 $1.45 $1.20 $1.10 $1.00 $2.50 $3.00 $3.00 $5.75 $9.00 $7.88 $6.88 $4.88 $3.00
PR % Payout Ratio %
4.18% -4.14% 0 0 -26.18% -500.00% 61.70% 14.20% 68.75% -153.85% -79.37% -50.25% 750.00% 100.00% 40.82% 52.71% 39.43% 33.13% 18.77%
Sha. Shares
29.51m 24.57m 18.22m 19.02m 17.52m 17.26m 16.74m 17.47m 16.94m 11.59m 11.29m 9.24m 9.22m 7.38m 7.43m 7.61m 7.62m 7.67m 8.07m
OCF Operating Cash Flow
$288.53M $53.11M $205.42M $184.35M $73.95M $170.83M $170.35M $234.41M $106.97M $117.92M $60.86M $45.59M $83.33M $117.16M $274.14M $190.61M $215.00M $146.90M $153.61M
FCF Free Cash Flow
$-44.84M $45.11M $110.80M $82.14M $73.77M $-70.97M $-405.72M $59.66M $-5.34M $-28.10M $-23.44M $-63.56M $-297.34M $-8.87M $47.40M $-341.67M $-751.01M $-99.23M $-12.69M
FCFS Free Cash Flow Per Share
$-2.84 $-2.12 $-1.07 $2.35 $1.45 $-8.58 $-24.83 $0.98 $-9.87 $-2.64 $-2.20 $-6.89 $-37.89 $-1.20 $6.31 $-44.87 $-98.49 $-12.55 $-1.67