$110.40
$-1.42 (-1.27%)
End-of-day quote: 05/23/2024
NYSE:SJM

JM Smucker Co-The Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Rev. Revenue
$8.53B $8.00B $8.00B $7.80B $7.84B $7.36B $7.39B $7.81B $5.69B $5.61B $5.90B $5.53B $4.83B $4.61B $3.76B $2.52B $2.15B $2.15B $2.04B
GM % Gross Margin %
32.92% 34.02% 39.26% 38.48% 37.20% 38.60% 38.43% 38.15% 34.69% 36.37% 34.57% 34.17% 38.39% 38.88% 33.30% 31.04% 33.15% 32.26% 32.29%
OM Operating Margin
13.84% 14.73% 17.15% 16.47% 14.74% 17.26% 17.56% 16.56% 14.69% 17.00% 16.47% 16.47% 18.96% 18.11% 14.34% 11.61% 12.42% 11.81% 12.33%
EPS Earnings Per Share
$0.00 $8.92 $8.88 $9.12 $8.76 $8.29 $7.96 $7.72 $6.57 $5.38 $5.64 $5.37 $4.73 $4.69 $4.37 $3.77 $3.15 $2.89 $2.77 $2.60
Div. Dividends
$4.08 $3.96 $3.60 $3.52 $3.40 $3.12 $3.00 $2.68 $2.56 $2.32 $2.08 $1.92 $1.68 $1.45 $1.31 $1.22 $1.14 $1.09 $1.02
PR % Payout Ratio %
45.74% 44.59% 39.47% 40.18% 41.01% 39.20% 38.86% 40.79% 47.58% 41.13% 38.73% 40.59% 35.82% 33.18% 34.75% 38.73% 39.45% 39.35% 39.23%
Sha. Shares
104.4m 106.46m 108.34m 114.07m 113.74m 113.57m 113.44m 116.31m 119.58m 101.7m 106.49m 110.28m 114.17m 119.12m 118.42m 54.62m 56.78m 56.95m 58.54m
OCF Operating Cash Flow
$1.19B $1.14B $1.57B $1.25B $1.14B $1.22B $1.06B $1.46B $739.10M $856.00M $855.80M $730.90M $391.60M $713.48M $446.99M $182.92M $272.97M $198.69M $149.76M
FCF Free Cash Flow
$717.00M $718.80M $1.26B $985.50M $781.40M $896.10M $866.60M $1.26B $485.50M $576.50M $649.34M $456.69M $211.51M $576.50M $338.08M $106.49M $215.97M $135.11M $62.18M
FCFS Free Cash Flow Per Share
$6.75 $6.66 $11.19 $8.64 $6.87 $7.89 $7.47 $10.55 $4.74 $5.53 $5.97 $4.03 $1.79 $4.85 $3.96 $1.88 $3.83 $2.33 $1.09