$57.31
$-0.43 (-0.74%)
End-of-day quote: 05/07/2024
NYSE:SAH

Sonic Automotive 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
$14.37B $14.00B $12.40B $9.77B $10.45B $9.95B $9.87B $9.73B $9.62B $9.20B $8.84B $8.37B $7.52B $6.58B $6.06B $6.90B $7.91B $7.53B $6.87B $6.47B
GM % Gross Margin %
15.63% 16.55% 15.44% 14.58% 14.55% 14.53% 14.77% 14.69% 14.70% 14.85% 14.72% 14.76% 15.41% 16.18% 17.05% 16.05% 15.39% 15.29% 15.21% 15.34%
OM Operating Margin
3.55% 4.54% 4.37% 3.11% 3.20% 2.14% 2.24% 2.35% 2.48% 2.66% 2.76% 2.88% 2.92% 2.80% 2.78% 2.55% 3.64% 3.34% 3.40% 3.19%
EPS Earnings Per Share
$0.00 $6.81 $9.61 $8.46 $3.85 $2.65 $1.79 $1.85 $2.01 $1.97 $1.90 $2.03 $1.67 $1.39 $0.99 $0.68 $1.05 $2.54 $2.22 $2.33 $2.22
Div. Dividends
$1.16 $1.03 $0.46 $0.40 $0.40 $0.24 $0.20 $0.20 $0.11 $0.10 $0.10 $0.10 $0.10 $0.03 $0.00 $0.48 $0.48 $0.48 $0.48 $0.44
PR % Payout Ratio %
17.03% 10.72% 5.44% 10.39% 15.09% 13.41% 10.81% 9.95% 5.58% 5.26% 4.93% 5.99% 7.19% 3.03% 0.00% 45.71% 18.90% 21.62% 20.60% 19.82%
Sha. Shares
33.96m 36.23m 40.72m 41.83m 43.13m 42.75m 43.2m 44.73m 49.94m 50.92m 52.71m 53.24m 52.63m 52.79m 52.13m 40.09m 41.33m 42.72m 42.72m 41.66m
OCF Operating Cash Flow
$-15.70M $406.10M $306.30M $281.08M $170.91M $143.68M $162.88M $216.37M $69.72M $161.05M $126.45M $-67.38M $153.63M $255.04M $403.58M $120.64M $34.05M $-61.86M $84.08M $258.83M
FCF Free Cash Flow
$-61.00M $179.00M $8.10M $153.90M $45.34M $-19.94M $-71.36M $10.14M $-29.51M $14.22M $-31.17M $-162.75M $-5.09M $169.85M $360.30M $12.65M $-44.25M $-161.71M $2.44M $153.23M
FCFS Free Cash Flow Per Share
$-0.45 $10.49 $7.40 $4.40 $1.05 $-0.47 $-1.62 $0.22 $-2.05 $0.28 $-0.59 $-3.04 $-0.10 $3.25 $8.22 $0.31 $-1.04 $-3.82 $0.06 $3.70