$70.75
$0.00 (0.00%)
End-of-day quote: 05/18/2024
NYSE:SCI

Service Corporation International 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
$4.10B $4.11B $4.14B $3.51B $3.23B $3.19B $3.10B $3.03B $2.99B $2.99B $2.55B $2.40B $2.32B $2.19B $2.05B $2.16B $2.29B $1.75B $1.72B $1.83B
GM % Gross Margin %
26.63% 28.10% 31.93% 27.82% 23.54% 23.83% 23.35% 22.33% 22.59% 22.57% 21.53% 21.74% 20.57% 20.51% 20.52% 19.49% 20.43% 19.85% 17.65% 17.98%
OM Operating Margin
22.76% 22.40% 28.14% 23.73% 19.69% 19.28% 18.16% 18.53% 18.44% 16.40% 17.39% 16.67% 16.18% 15.94% 15.57% 15.25% 14.90% 14.57% 12.71% 14.16%
EPS Earnings Per Share
$0.00 $3.47 $3.80 $4.57 $2.91 $1.90 $1.79 $1.55 $1.29 $1.18 $1.11 $0.92 $0.80 $0.65 $0.59 $0.51 $0.52 $0.52 $0.41 $0.28 $0.32
Div. Dividends
$1.11 $1.02 $0.88 $0.78 $0.72 $0.68 $0.58 $0.51 $0.44 $0.34 $0.27 $0.23 $0.20 $0.16 $0.06 $0.16 $0.13 $0.11 $0.10 $0.00
PR % Payout Ratio %
31.99% 26.84% 19.26% 26.80% 37.89% 37.99% 37.42% 39.53% 37.29% 30.63% 29.35% 28.75% 30.77% 27.12% 11.76% 30.77% 25.00% 26.83% 35.71% 0.00%
Sha. Shares
146.32m 153.94m 163.11m 170.72m 181.18m 181.47m 186.61m 189.41m 195.77m 204.87m 212.32m 211.05m 222.96m 241.04m 254.02m 249.47m 262.86m 293.22m 294.81m 323.23m
OCF Operating Cash Flow
$869.04M $825.73M $920.61M $804.35M $628.76M $615.83M $503.37M $489.04M $472.19M $317.36M $384.71M $369.25M $388.11M $354.38M $372.07M $350.31M $356.18M $324.22M $312.85M $94.16M
FCF Free Cash Flow
$524.10M $456.02M $616.95M $582.14M $388.80M $380.29M $287.84M $270.15M $321.20M $172.86M $271.63M $253.62M $279.01M $256.48M $288.28M $196.21M $199.17M $226.69M $213.43M $-1.46M
FCFS Free Cash Flow Per Share
$3.37 $2.89 $3.68 $3.29 $2.13 $2.08 $1.54 $1.53 $1.60 $0.82 $1.28 $1.18 $1.15 $1.03 $1.15 $0.76 $0.70 $0.77 $0.71 $-0.00