$114.02
$0.00 (0.00%)
End-of-day quote: 04/26/2024
NasdaqGS:TROW

T Rowe Price Group Inc Annual Report

Year Year 2023 2021 2022 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020
Rev. Revenue
$6.46B $7.67B $6.49B $1.28B $1.52B $1.82B $2.23B $2.12B $1.87B $2.37B $2.75B $3.02B $3.48B $3.98B $4.20B $4.28B $4.85B $5.37B $5.62B $6.21B
GM % Gross Margin %
49.63% 60.98% 54.96% 64.23% 65.54% 63.81% 64.30% 61.55% 57.03% 61.88% 62.02% 62.16% 63.43% 63.00% 62.03% 56.43% 57.29% 58.18% 57.55% 57.85%
OM Operating Margin
29.47% 48.77% 38.48% 41.28% 43.45% 43.49% 44.83% 40.23% 37.72% 44.56% 44.72% 45.14% 47.00% 47.48% 45.21% 42.00% 42.41% 43.67% 42.49% 44.24%
EPS Earnings Per Share
$0.00 $7.59 $8.02 $12.75 $9.58 $8.07 $7.15 $5.43 $4.75 $4.63 $4.55 $3.90 $3.29 $2.92 $2.53 $1.65 $2.03 $2.40 $1.93 $1.58 $1.26
Div. Dividends
$4.88 $4.32 $4.80 $0.40 $0.49 $0.59 $0.75 $0.96 $1.00 $1.08 $1.24 $1.36 $1.52 $1.76 $4.08 $2.16 $2.28 $2.80 $3.04 $3.60
PR % Payout Ratio %
64.30% 33.88% 59.85% 31.75% 31.01% 30.57% 31.25% 47.29% 60.61% 42.69% 42.47% 41.34% 38.97% 38.68% 88.12% 45.47% 41.99% 39.16% 37.67% 37.58%
Sha. Shares
223.94m 229.18m 224.31m 259.22m 263.36m 264.96m 264.61m 256.86m 258.53m 258.76m 253.27m 257.02m 262.07m 261.11m 250.47m 244.78m 245.11m 238.07m 235.21m 227.97m
OCF Operating Cash Flow
$1.22B $3.45B $2.36B $374.30M $539.50M $593.20M $758.00M $741.80M $535.60M $732.80M $948.40M $902.80M $1.23B $1.34B $1.53B $170.50M $229.50M $1.62B $1.52B $1.92B
FCF Free Cash Flow
$1.89B $3.21B $2.12B $331.20M $487.20M $498.80M $612.40M $597.70M $401.70M $614.80M $866.10M $825.90M $1.13B $1.17B $1.36B $1.20B $1.37B $1.45B $1.32B $1.70B
FCFS Free Cash Flow Per Share
$4.07 $14.18 $9.39 $1.30 $1.87 $1.89 $2.31 $2.31 $1.57 $2.39 $3.39 $3.26 $4.36 $4.69 $5.42 $0.09 $0.18 $5.99 $5.60 $7.45