$186.00
$-5.70 (-2.97%)
End-of-day quote: 05/01/2024
NYSE:RSG

Republic Services Inc Annual Report

Year Year 2023 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2022 2021 2020
Rev. Revenue
$14.96B $10.30B $10.04B $10.04B $9.39B $9.12B $8.80B $8.42B $8.12B $8.19B $8.11B $8.20B $3.69B $3.18B $3.07B $2.86B $2.71B $13.51B $11.30B $10.15B
GM % Gross Margin %
41.42% 39.62% 38.35% 38.11% 38.60% 38.91% 35.90% 37.75% 38.34% 40.62% 41.22% 40.77% 34.42% 36.91% 37.33% 37.01% 36.69% 40.40% 41.15% 40.66%
OM Operating Margin
19.03% 17.25% 16.70% 16.47% 16.87% 16.60% 14.27% 16.33% 16.77% 19.29% 19.77% 18.85% 13.03% 16.88% 16.92% 16.66% 16.70% 18.42% 18.74% 18.03%
EPS Earnings Per Share
$0.00 $5.61 $4.93 $4.17 $3.56 $3.34 $3.09 $2.43 $2.22 $2.06 $1.96 $1.97 $1.80 $1.96 $1.71 $1.48 $1.73 $1.66 $1.38 $1.17 $1.02
Div. Dividends
$2.06 $1.56 $1.44 $1.33 $1.24 $1.16 $1.08 $0.99 $0.91 $0.84 $0.78 $0.76 $0.72 $0.55 $0.40 $0.35 $0.24 $1.91 $1.77 $1.66
PR % Payout Ratio %
36.72% 46.71% 46.60% 54.73% 55.86% 56.31% 55.10% 50.25% 50.56% 42.86% 45.61% 51.35% 41.62% 33.13% 28.99% 29.91% 23.53% 38.74% 42.45% 46.63%
Sha. Shares
314.6m 318.8m 322.5m 331.7m 339.4m 345.6m 352.7m 360.4m 361.1m 369.9m 383.7m 380.8m 378.5m 185.4m 195m 207.9m 225.87m 316.1m 317.2m 318.8m
OCF Operating Cash Flow
$3.62B $2.35B $2.24B $1.91B $1.85B $1.68B $1.53B $1.55B $1.51B $1.77B $1.43B $1.40B $512.20M $661.30M $511.20M $747.80M $666.30M $3.19B $2.79B $2.47B
FCF Free Cash Flow
$1.91B $1.15B $1.17B $920.90M $920.00M $734.10M $672.00M $667.40M $610.30M $864.80M $676.40M $570.20M $125.30M $368.80M $173.60M $419.10M $382.50M $2.27B $1.47B $1.28B
FCFS Free Cash Flow Per Share
$6.28 $3.57 $3.58 $2.73 $2.68 $2.10 $1.87 $1.84 $1.66 $2.21 $1.67 $1.50 $0.64 $1.94 $0.93 $2.12 $1.67 $5.48 $4.61 $4.00