$51.47
$0.00 (0.00%)
End-of-day quote: 05/03/2024
NYSE:SLG

SL Green Realty 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
$837.20M $763.38M $765.99M $959.15M $1.20B $1.23B $1.53B $1.78B $1.68B $1.51B $1.38B $1.36B $1.25B $1.12B $1.04B $1.12B $1.02B $491.80M $418.03M $368.74M
GM % Gross Margin %
56.90% 55.56% 54.38% 59.49% 61.92% 63.66% 62.77% 66.64% 66.16% 64.70% 62.84% 63.14% 62.29% 62.68% 49.27% 55.88% 64.63% 62.26% 63.98% 61.61%
OM Operating Margin
0.80% 15.07% 13.67% 29.57% 30.94% 33.52% 29.91% 20.23% 35.77% 36.31% 33.66% 34.29% 34.15% 35.89% 20.99% 27.55% 38.46% 37.78% 41.71% 40.87%
EPS Earnings Per Share
$5.14 $6.64 $6.81 $7.44 $7.42 $7.01 $6.83 $8.71 $6.77 $6.29 $5.51 $5.48 $5.09 $5.05 $4.72 $6.40 $6.10 $4.87 $4.39 $3.96
Div. Dividends
$3.00 $3.69 $3.65 $3.75 $3.64 $3.61 $3.29 $3.11 $3.05 $2.23 $1.58 $1.15 $0.58 $0.42 $0.72 $2.90 $3.06 $2.65 $2.35 $2.16
PR % Payout Ratio %
58.37% 55.57% 53.60% 50.40% 49.06% 51.50% 48.17% 35.71% 45.05% 35.45% 28.68% 20.99% 11.39% 8.32% 15.25% 45.31% 50.16% 54.41% 53.53% 54.55%
Sha. Shares
64.73m 64.38m 64.11m 66.47m 74.67m 78.9m 87.49m 94.81m 94.26m 91.76m 89.56m 86.03m 80.88m 73.83m 73.08m 53.78m 55.4m 46.99m 40.03m 38.54m
OCF Operating Cash Flow
$229.50M $276.09M $255.98M $554.24M $376.47M $441.54M $543.00M $644.01M $526.48M $490.38M $386.20M $346.75M $307.12M $321.06M $275.21M $296.01M $406.71M $225.64M $138.40M $164.46M
FCF Free Cash Flow
$0.00M $-24.68M $-46.51M $96.10M $123.49M $187.08M $213.07M $0.00M $0.00M $120.49M $192.83M $205.60M $307.12M $321.06M $0.00M $0.00M $0.00M $0.00M $0.00M $0.00M
FCFS Free Cash Flow Per Share
$3.60 $4.32 $3.89 $8.11 $4.89 $5.41 $5.84 $6.82 $5.62 $5.43 $4.44 $4.12 $3.89 $4.36 $4.19 $5.41 $7.34 $5.37 $3.51 $4.45