$76.39
$0.00 (0.00%)
End-of-day quote: 05/10/2024
NYSE:SXT

Sensient Technologies 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
$1.46B $1.44B $1.38B $1.33B $1.32B $1.39B $1.36B $1.38B $1.38B $1.45B $1.46B $1.45B $1.43B $1.33B $1.20B $1.25B $1.18B $1.10B $1.02B $1.05B
GM % Gross Margin %
31.60% 34.04% 32.94% 31.89% 31.36% 33.61% 35.12% 34.52% 33.47% 33.87% 32.62% 31.83% 31.43% 30.75% 30.72% 30.41% 30.58% 30.24% 29.01% 29.85%
OM Operating Margin
12.32% 13.68% 12.17% 12.89% 11.77% 14.67% 15.00% 15.25% 15.26% 15.06% 14.06% 13.27% 13.09% 13.14% 13.17% 12.90% 12.44% 11.77% 10.45% 12.33%
EPS Earnings Per Share
$0.00 $2.86 $3.29 $3.13 $2.79 $2.96 $3.55 $3.42 $3.21 $3.05 $3.02 $2.71 $2.49 $2.41 $2.15 $1.92 $1.89 $1.65 $1.44 $1.21 $1.58
Div. Dividends
$1.64 $1.64 $1.58 $1.56 $1.47 $1.35 $1.23 $1.11 $0.00 $0.98 $0.91 $0.87 $0.84 $0.79 $0.76 $0.74 $0.68 $0.61 $0.60 $0.00
PR % Payout Ratio %
57.34% 49.85% 50.48% 55.91% 49.66% 38.03% 35.96% 34.58% 0 32.45% 33.58% 34.94% 34.85% 36.74% 39.58% 39.15% 41.21% 42.36% 49.59% 0
Sha. Shares
42.07m 41.9m 41.85m 42.31m 42.27m 42.22m 43.2m 44.24m 44.78m 47.42m 49.85m 49.69m 49.92m 49.61m 48.77m 48.16m 47.35m 46.57m 46.33m 47.07m
OCF Operating Cash Flow
$169.70M $12.07M $145.22M $218.78M $177.18M $83.52M $36.31M $183.64M $128.05M $189.19M $153.55M $139.37M $142.88M $155.73M $138.34M $86.97M $105.21M $99.22M $110.29M $125.73M
FCF Free Cash Flow
$113.65M $-67.25M $84.43M $166.62M $138.08M $32.78M $124.16M $141.26M $-4.00M $109.79M $49.31M $68.45M $94.38M $99.90M $90.62M $33.29M $63.25M $59.91M $74.19M $75.88M
FCFS Free Cash Flow Per Share
$1.95 $-1.61 $2.01 $3.94 $3.27 $0.77 $-0.46 $2.30 $1.05 $2.26 $0.99 $0.72 $1.42 $2.03 $1.87 $0.70 $1.35 $1.31 $1.59 $1.63