$208.25
+ $1.58 (0.76%)
End-of-day quote: 04/30/2024
NYSE:PGR

The Progressive Annual Report

Year Year 2023 2021 2022 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020
Rev. Revenue
$62.08B $47.68B $49.59B $13.77B $14.29B $14.77B $14.67B $12.83B $14.55B $15.20B $15.76B $17.07B $18.16B $19.38B $20.83B $23.42B $26.82B $31.95B $39.00B $42.64B
GM % Gross Margin %
8.89% 9.82% 3.40% 18.57% 15.16% 17.16% 12.42% -0.51% 11.79% 11.28% 10.40% 8.67% 10.36% 10.73% 10.21% 7.27% 8.96% 10.84% 14.18% 20.34%
OM Operating Margin
8.33% 9.29% 2.80% 18.39% 14.98% 16.99% 12.28% -0.67% 11.65% 11.14% 10.28% 8.46% 10.15% 10.47% 9.83% 6.88% 8.55% 10.42% 13.72% 17.33%
EPS Earnings Per Share
$0.00 $6.16 $3.78 $3.66 $7.50 $5.41 $5.03 $2.48 $1.70 $2.03 $1.91 $1.58 $1.14 $1.48 $1.51 $1.55 $1.29 $1.54 $2.11 $1.78 $1.91
Div. Dividends
$1.15 $1.90 $0.40 $0.03 $0.03 $0.03 $2.15 $0.00 $0.16 $1.40 $0.41 $1.28 $0.49 $0.69 $0.89 $0.68 $1.12 $2.51 $2.65 $4.90
PR % Payout Ratio %
18.67% 51.91% 10.58% 1.57% 1.69% 1.42% 139.61% 0.00% 10.32% 92.72% 27.70% 112.28% 31.01% 36.13% 43.84% 40.00% 45.16% 49.90% 48.98% 65.33%
Sha. Shares
585.3m 584.4m 584.9m 801.6m 789.2m 748m 680.2m 676.5m 672.6m 662.4m 613m 604.6m 595.8m 587.8m 583.6m 579.9m 581.7m 583.2m 584.6m 585.2m
OCF Operating Cash Flow
$10.64B $7.76B $6.85B $2.66B $1.99B $2.02B $1.79B $1.55B $1.49B $1.68B $1.50B $1.69B $1.90B $1.73B $2.29B $2.73B $3.76B $6.28B $6.26B $6.91B
FCF Free Cash Flow
$6.06B $7.52B $6.56B $2.47B $1.77B $1.69B $1.65B $1.45B $1.42B $1.61B $1.42B $1.56B $1.76B $1.62B $2.16B $2.52B $3.60B $6.02B $5.90B $6.68B
FCFS Free Cash Flow Per Share
$17.69 $12.82 $11.17 $2.90 $2.25 $2.18 $2.33 $2.17 $2.13 $2.45 $2.24 $2.59 $2.94 $2.74 $3.69 $4.33 $6.20 $10.31 $10.06 $11.38