$101.52
$-0.92 (-0.90%)
End-of-day quote: 04/30/2024
NYSE:RTX

RTX 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
$68.92B $64.39B $67.07B $37.45B $42.73B $47.83B $55.55B $59.12B $52.43B $52.28B $55.75B $57.71B $56.60B $57.90B $56.10B $57.24B $59.84B $66.50B $77.05B $56.59B
GM % Gross Margin %
17.54% 19.40% 20.38% 27.25% 27.60% 27.37% 26.41% 26.19% 25.87% 27.56% 27.59% 26.95% 28.50% 29.36% 27.93% 27.55% 26.13% 24.84% 26.23% 15.93%
OM Operating Margin
7.84% 10.06% 10.76% 11.49% 12.13% 12.75% 12.40% 12.70% 12.06% 13.62% 14.22% 12.96% 13.99% 15.93% 14.64% 14.11% 13.61% 12.81% 13.33% 4.39%
EPS Earnings Per Share
$0.00 $5.06 $4.78 $4.27 $3.50 $8.26 $7.61 $6.65 $6.61 $6.30 $6.82 $6.21 $5.36 $5.29 $4.74 $4.12 $4.90 $4.27 $3.71 $3.12 $2.82
Div. Dividends
$2.29 $2.01 $2.16 $0.70 $0.88 $1.02 $1.17 $1.35 $1.54 $1.70 $1.87 $2.03 $2.20 $2.36 $2.56 $2.62 $2.72 $2.84 $2.94 $2.16
PR % Payout Ratio %
45.26% 47.07% 45.19% 24.82% 28.21% 27.49% 27.40% 27.55% 37.38% 35.86% 35.35% 37.87% 35.43% 34.60% 40.63% 39.64% 40.90% 37.32% 35.59% 61.71%
Sha. Shares
1324.61m 1486.08m 1461.14m 991m 984.35m 967.9m 957.35m 919.34m 914.54m 900.87m 888.42m 901.75m 901.19m 895.18m 825.44m 797m 788.63m 852.08m 856.47m 1510.04m
OCF Operating Cash Flow
$7.88B $7.07B $7.17B $3.60B $4.33B $4.80B $5.33B $6.16B $5.35B $5.91B $6.59B $6.65B $6.88B $7.32B $6.38B $3.88B $5.63B $6.32B $8.88B $3.61B
FCF Free Cash Flow
$5.47B $5.01B $4.88B $2.80B $3.41B $3.85B $4.18B $4.95B $4.53B $5.04B $5.61B $5.22B $5.82B $5.63B $5.05B $4.71B $3.62B $4.42B $6.63B $2.54B
FCFS Free Cash Flow Per Share
$3.31 $3.08 $2.98 $2.82 $3.44 $3.93 $4.33 $5.27 $4.93 $5.58 $6.34 $4.15 $5.09 $5.72 $4.92 $2.19 $4.10 $5.02 $7.34 $1.21