$116.64
$0.00 (0.00%)
End-of-day quote: 05/03/2024
NYSE:PHM

PulteGroup Annual Report

Year Year 2023 2022 2021 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020
Rev. Revenue
$16.06B $16.23B $13.93B $11.51B $14.69B $14.27B $9.26B $6.26B $4.08B $4.57B $4.14B $4.82B $5.68B $5.82B $5.98B $7.68B $8.58B $10.19B $10.21B $11.04B
GM % Gross Margin %
29.50% 29.82% 27.16% 14.10% 15.84% 10.50% 13.18% 10.21% 7.88% 13.18% 12.60% 16.00% 20.76% 27.19% 27.32% 25.41% 23.73% 24.10% 23.61% 25.25%
OM Operating Margin
21.33% 21.28% 18.42% 14.10% 15.84% 10.50% 1.70% -2.35% -6.91% -6.21% -0.20% 4.92% 10.17% 12.28% 13.57% 12.77% 13.09% 14.11% 13.26% 16.08%
EPS Earnings Per Share
$0.00 $11.99 $10.88 $7.33 $4.79 $3.60 $3.60 $2.19 $1.71 $1.28 $1.23 $1.49 $0.71 $-0.55 $-2.90 $-3.75 $-5.81 $-6.55 $2.67 $5.47 $3.84
Div. Dividends
$0.68 $0.61 $0.57 $0.10 $0.13 $0.16 $0.16 $0.16 $0.00 $0.00 $0.00 $0.00 $0.15 $0.23 $0.33 $0.36 $0.36 $0.38 $0.45 $0.50
PR % Payout Ratio %
5.67% 5.61% 7.78% 2.60% 2.38% 5.99% -2.44% -2.75% -0.00% -0.00% -0.00% 0.00% 10.07% 18.70% 25.78% 21.05% 16.44% 10.56% 12.50% 10.44%
Sha. Shares
212.56m 225.84m 249.33m 255.75m 257.03m 255.32m 257.1m 258.17m 380.69m 382.03m 382.61m 386.61m 381.3m 369.46m 349.15m 319.09m 286.75m 277.11m 270.24m 266.46m
OCF Operating Cash Flow
$2.20B $668.47M $1.00B $-692.16M $18.70M $-267.53M $1.22B $1.22B $729.36M $592.12M $17.28M $760.14M $881.14M $307.88M $-337.59M $68.27M $663.08M $1.45B $1.08B $1.78B
FCF Free Cash Flow
$2.65B $555.81M $931.24M $-767.38M $-70.19M $-366.16M $1.15B $1.20B $690.11M $576.94M $-4.02M $746.20M $852.24M $260.46M $-393.57M $28.98M $631.03M $1.39B $1.02B $1.73B
FCFS Free Cash Flow Per Share
$9.57 $2.37 $3.59 $-3.04 $-0.27 $-1.45 $4.55 $4.74 $2.30 $1.52 $-0.01 $1.96 $2.22 $0.70 $-1.07 $0.09 $2.07 $4.90 $3.71 $6.43