$95.11
$0.00 (0.00%)
End-of-day quote: 05/04/2024
NYSE:TJX

TJX Cos Inc-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
$49.94B $48.55B $32.14B $41.72B $38.97B $35.86B $33.18B $30.94B $29.08B $27.42B $25.88B $23.19B $21.94B $20.29B $19.00B $18.34B $17.10B $15.96B $14.86B
GM % Gross Margin %
34.17% 35.22% 32.70% 35.60% 28.59% 28.89% 28.98% 28.79% 28.55% 28.51% 28.43% 27.33% 26.90% 26.22% 24.05% 24.28% 24.17% 23.45% 23.57%
OM Operating Margin
9.71% 9.30% 0.22% 10.59% 10.82% 11.12% 11.60% 11.97% 12.40% 12.22% 12.00% 10.55% 10.48% 9.81% 7.55% 6.86% 7.51% 6.60% 6.83%
EPS Earnings Per Share
$0.00 $3.86 $3.11 $2.85 $0.26 $2.67 $2.45 $1.98 $1.77 $1.67 $1.58 $1.42 $1.28 $1.00 $0.87 $0.71 $0.49 $0.48 $0.41 $0.32 $0.35
Div. Dividends
$1.17 $1.04 $0.26 $0.92 $0.78 $0.63 $0.52 $0.42 $0.35 $0.29 $0.23 $0.19 $0.15 $0.12 $0.11 $0.09 $0.07 $0.06 $0.05
PR % Payout Ratio %
37.62% 36.49% 100.00% 34.46% 31.84% 31.82% 29.38% 25.15% 22.15% 20.42% 17.97% 19.00% 17.24% 16.90% 22.45% 18.75% 17.07% 18.75% 14.29%
Sha. Shares
1155.44m 1181.19m 1204.7m 1199.1m 1217.18m 1256.02m 1292.64m 1326.99m 1369.47m 1410.03m 1447.8m 1493.4m 1558.63m 1637.54m 1651.29m 1711.8m 1814.6m 1843.87m 1922.8m
OCF Operating Cash Flow
$4.08B $3.06B $4.56B $4.07B $4.09B $3.03B $3.63B $2.96B $3.01B $2.60B $3.06B $1.92B $1.98B $2.27B $1.15B $1.37B $1.21B $1.16B $1.08B
FCF Free Cash Flow
$2.08B $2.01B $3.99B $2.84B $2.96B $1.97B $2.58B $2.05B $2.10B $1.64B $2.07B $1.11B $1.27B $1.84B $571.64M $847.78M $834.74M $662.07M $647.68M
FCFS Free Cash Flow Per Share
$2.25 $1.68 $3.33 $2.35 $2.39 $1.55 $1.98 $1.53 $1.51 $1.16 $1.42 $0.73 $0.79 $1.10 $0.34 $0.48 $0.46 $0.35 $0.33