$84.98
$0.00 (0.00%)
End-of-day quote: 04/27/2024
NYSE:TKR

The Timken 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
$4.77B $4.50B $4.13B $3.51B $3.79B $3.58B $3.00B $2.67B $2.87B $3.08B $3.04B $3.36B $5.17B $4.06B $3.14B $5.04B $4.53B $4.97B $4.82B $4.29B
GM % Gross Margin %
31.77% 28.54% 26.83% 28.75% 30.34% 29.05% 27.04% 26.46% 28.66% 29.92% 28.80% 30.85% 26.62% 25.33% 18.81% 22.92% 21.48% 20.58% 21.03% 19.33%
OM Operating Margin
14.36% 14.65% 13.23% 13.94% 14.29% 12.66% 9.61% 7.35% 12.72% 12.28% 10.80% 14.34% 14.51% 11.43% 3.76% 9.91% 7.61% 7.08% 7.68% 6.43%
EPS Earnings Per Share
$0.00 $6.90 $6.02 $4.72 $4.10 $4.60 $4.18 $2.63 $1.97 $2.21 $2.55 $3.09 $4.66 $4.70 $2.95 $0.53 $3.26 $2.40 $2.48 $2.53 $1.35
Div. Dividends
$1.31 $1.23 $1.19 $1.13 $1.12 $1.11 $1.07 $1.04 $1.03 $1.00 $0.92 $0.92 $0.78 $0.53 $0.45 $0.70 $0.66 $0.62 $0.60 $0.52
PR % Payout Ratio %
18.99% 20.43% 25.21% 27.56% 24.35% 26.56% 40.68% 52.79% 46.61% 39.22% 29.77% 19.74% 16.60% 17.97% 84.91% 21.47% 27.50% 25.00% 23.72% 38.52%
Sha. Shares
70.26m 72.58m 75.37m 75.68m 75.54m 75.95m 77.7m 77.45m 80.26m 88.59m 93.12m 95.9m 97.67m 97.8m 96.85m 96.55m 95.81m 94.16m 93.01m 90.5m
OCF Operating Cash Flow
$545.20M $463.80M $387.30M $577.60M $550.10M $332.50M $236.80M $403.90M $380.30M $307.00M $430.00M $624.10M $209.40M $312.70M $587.70M $577.60M $341.91M $336.93M $318.70M $120.53M
FCF Free Cash Flow
$440.00M $285.40M $239.00M $456.00M $409.50M $219.90M $132.10M $264.50M $269.20M $180.20M $106.60M $328.90M $6.40M $145.60M $473.55M $305.82M $27.99M $40.84M $97.71M $-23.25M
FCFS Free Cash Flow Per Share
$5.01 $3.88 $3.15 $6.05 $5.41 $2.85 $1.70 $3.39 $3.25 $1.99 $3.12 $5.23 $0.04 $2.04 $4.93 $3.34 $0.55 $0.44 $1.11 $-0.26