$284.72
$-9.21 (-3.13%)
End-of-day quote: 04/30/2024
NYSE:RS

Reliance Steel & Aluminum 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
$14.81B $17.03B $14.09B $8.81B $10.97B $11.53B $9.72B $8.61B $9.35B $10.45B $9.22B $8.44B $8.13B $6.31B $5.32B $8.72B $7.26B $5.74B $3.37B $2.94B
GM % Gross Margin %
30.71% 30.89% 31.96% 31.93% 30.34% 28.45% 28.68% 30.22% 27.26% 25.08% 25.99% 26.14% 24.41% 25.11% 26.32% 24.80% 25.33% 26.32% 27.34% 28.28%
OM Operating Margin
11.75% 14.77% 13.95% 7.96% 9.23% 8.45% 6.79% 6.74% 6.45% 6.13% 6.27% 7.84% 7.04% 5.71% 4.71% 9.78% 9.97% 10.92% 10.89% 10.32%
EPS Earnings Per Share
$0.00 $22.62 $30.03 $22.12 $7.71 $10.34 $8.94 $5.44 $4.48 $4.55 $4.83 $4.40 $5.33 $4.58 $2.61 $2.01 $6.56 $5.36 $4.82 $3.11 $2.60
Div. Dividends
$4.00 $3.50 $2.75 $2.50 $2.20 $2.00 $1.80 $1.65 $1.60 $1.40 $1.26 $0.80 $0.48 $0.40 $0.40 $0.40 $0.32 $0.22 $0.19 $0.13
PR % Payout Ratio %
17.68% 11.66% 12.43% 32.43% 21.28% 22.37% 33.09% 36.83% 35.16% 28.99% 28.64% 15.01% 10.48% 15.33% 19.90% 6.10% 5.97% 4.56% 6.11% 5.00%
Sha. Shares
57.27m 58.79m 61.81m 63.6m 66.85m 66.88m 72.61m 72.68m 71.74m 77.34m 77.49m 76.04m 75.01m 74.64m 73.75m 73.31m 74.91m 75.7m 66.22m 65.34m
OCF Operating Cash Flow
$1.67B $2.12B $799.40M $1.17B $1.30B $664.60M $399.00M $626.50M $1.03B $356.00M $633.30M $601.90M $234.80M $214.10M $943.00M $664.68M $638.96M $190.96M $272.22M $121.77M
FCF Free Cash Flow
$1.29B $1.78B $562.80M $1.00B $1.06B $424.70M $237.40M $471.60M $852.80M $165.60M $465.30M $387.90M $78.40M $102.73M $873.10M $512.79M $514.83M $82.22M $218.48M $85.79M
FCFS Free Cash Flow Per Share
$20.62 $29.34 $8.90 $15.56 $15.84 $5.93 $3.26 $6.52 $11.51 $2.13 $6.06 $5.16 $1.05 $1.38 $11.89 $7.01 $6.81 $1.12 $3.32 $1.32