$120.10
$0.00 (0.00%)
End-of-day quote: 05/04/2024
NasdaqGS:PAYX

Paychex Inc 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
$5.01B $4.61B $4.06B $4.04B $3.77B $3.38B $3.15B $2.95B $2.74B $2.52B $2.33B $2.23B $2.08B $2.00B $2.08B $2.07B $1.89B $1.67B $1.45B $1.29B
GM % Gross Margin %
70.98% 70.59% 68.66% 68.30% 68.78% 69.86% 70.84% 70.96% 70.51% 70.92% 71.14% 69.95% 68.74% 67.33% 67.33% 68.02% 67.38% 66.54% 65.47% 64.19%
OM Operating Margin
40.60% 39.90% 36.01% 36.15% 36.49% 38.24% 39.77% 38.84% 38.46% 39.01% 38.90% 38.29% 37.73% 36.23% 38.66% 40.08% 37.18% 38.79% 36.94% 33.48%
EPS Earnings Per Share
$4.27 $3.77 $3.04 $3.00 $2.84 $2.55 $2.20 $2.09 $1.85 $1.71 $1.56 $1.51 $1.42 $1.35 $1.48 $1.56 $1.41 $1.22 $0.97 $0.86
Div. Dividends
$3.26 $2.77 $2.52 $2.48 $2.30 $2.06 $1.84 $1.68 $1.52 $1.40 $1.31 $1.27 $1.24 $1.24 $1.24 $1.20 $0.79 $0.61 $0.51 $0.48
PR % Payout Ratio %
76.35% 73.47% 82.89% 82.67% 80.99% 80.78% 83.64% 80.38% 82.16% 81.87% 83.97% 84.11% 87.32% 91.85% 83.78% 76.92% 56.03% 50.00% 52.58% 55.81%
Sha. Shares
360.5m 359.9m 359.8m 358.8m 359.3m 359m 359.4m 360.4m 361.2m 363m 365.4m 362.6m 362.1m 361.5m 360.98m 360.5m 382.15m 380.3m 378.63m 377.97m
OCF Operating Cash Flow
$1.70B $1.51B $1.26B $1.44B $1.27B $1.28B $960.40M $1.02B $895.20M $880.90M $675.30M $706.60M $715.30M $610.90M $688.80M $724.67M $631.23M $569.23M $466.62M $389.00M
FCF Free Cash Flow
$1.57B $1.37B $1.15B $1.31B $1.17B $1.12B $866.10M $920.50M $792.40M $796.80M $576.60M $617.00M $614.80M $549.60M $624.10M $642.38M $552.21M $488.09M $395.93M $338.44M
FCFS Free Cash Flow Per Share
$4.32 $3.80 $3.18 $3.66 $3.20 $3.13 $2.41 $2.55 $2.18 $2.19 $1.58 $1.70 $1.70 $1.52 $1.73 $1.74 $1.45 $1.29 $1.05 $0.90