$275.96
+ $0.25 (0.09%)
End-of-day quote: 05/15/2024
NasdaqGS:TSCO

Tractor Supply 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
$14.56B $14.20B $12.73B $10.62B $8.35B $7.91B $7.26B $6.78B $6.23B $5.71B $5.16B $4.66B $4.23B $3.64B $3.21B $3.01B $2.70B $2.37B $2.07B $1.74B
GM % Gross Margin %
35.92% 35.00% 35.17% 35.42% 34.38% 34.16% 34.34% 34.30% 34.42% 34.15% 33.95% 33.58% 33.24% 33.08% 32.49% 31.75% 31.54% 31.49% 30.79% 30.17%
OM Operating Margin
10.16% 10.10% 10.26% 11.19% 8.90% 8.87% 9.46% 10.24% 10.45% 10.32% 9.96% 9.36% 8.34% 7.35% 6.00% 5.93% 5.92% 6.25% 6.60% 5.84%
EPS Earnings Per Share
$0.00 $10.09 $9.71 $8.61 $6.87 $4.68 $4.31 $3.33 $3.27 $3.00 $2.66 $2.32 $1.90 $1.51 $1.13 $0.79 $0.55 $0.60 $0.56 $0.52 $0.41
Div. Dividends
$4.12 $3.68 $2.08 $1.50 $1.36 $1.20 $1.05 $0.92 $0.76 $0.61 $0.49 $0.36 $0.22 $0.14 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00
PR % Payout Ratio %
40.83% 37.90% 24.16% 21.83% 29.06% 27.84% 31.53% 28.13% 25.33% 22.93% 21.12% 18.95% 14.57% 12.39% 0.00% 0.00% 0.00% 0.00% 0.00% 0
Sha. Shares
107.98m 110.25m 113.13m 116.25m 118.17m 121.83m 125.3m 130.8m 134.22m 136.38m 139.65m 139.01m 142.53m 145.55m 144.31m 144.25m 149.94m 161.13m 157.73m 153.21m
OCF Operating Cash Flow
$1.33B $1.36B $1.14B $1.39B $811.72M $694.39M $631.45M $650.71M $456.21M $409.18M $333.68M $378.30M $254.14M $222.61M $215.32M $217.73M $154.78M $87.55M $104.47M $77.07M
FCF Free Cash Flow
$742.88M $583.61M $510.29M $1.10B $594.27M $415.86M $381.05M $413.02M $192.68M $248.57M $115.48M $225.38M $87.99M $126.10M $141.35M $125.97M $71.23M $-1.34M $26.96M $-14.24M
FCFS Free Cash Flow Per Share
$5.32 $5.24 $4.45 $9.46 $4.96 $3.39 $2.99 $3.20 $1.62 $1.80 $0.83 $1.59 $0.61 $0.87 $0.98 $0.86 $0.45 $-0.01 $0.17 $-0.09