$85.37
+ $0.60 (0.71%)
End-of-day quote: 05/02/2024
NYSE:TXT

Textron Inc Annual Report

Year Year 2023 2022 2019 2014 2008 2021 2020 2018 2017 2016 2015 2013 2012 2011 2010 2009 2007 2006 2005 2004
Rev. Revenue
$13.68B $12.87B $0.00M $0.00M $0.00M $12.38B $0.00M $13.97B $14.20B $13.79B $0.00M $12.10B $12.24B $11.28B $10.53B $0.00M $12.40B $10.97B $10.04B $8.32B
GM % Gross Margin %
16.54% 15.98% 0.00% 0.00% 0.00% 16.69% 0.00% 16.80% 16.50% 17.52% 0.00% 15.89% 17.56% 15.39% 15.65% 0.00% 22.94% 22.36% 23.40% 22.87%
OM Operating Margin
9.32% 8.63% 0.00% 0.00% 0.00% 8.12% 0.00% 8.22% 7.30% 8.25% 0.00% 6.82% 8.04% 4.79% 3.95% 0.00% 10.47% 9.54% 9.43% 8.33%
EPS Earnings Per Share
$0.00 $5.59 $4.01 $3.30 $2.07 $3.74 $3.34 $2.45 $2.62 $2.50 $2.15 $1.82 $2.03 $1.31 $0.81 $0.59 $3.17 $3.59 $2.72 $1.89 $1.68
Div. Dividends
$0.08 $0.08 $0.08 $0.08 $0.92 $0.08 $0.08 $0.08 $0.08 $0.08 $0.08 $0.08 $0.08 $0.08 $0.08 $0.08 $0.81 $0.78 $0.70 $0.66
PR % Payout Ratio %
1.43% 2.00% 2.14% 3.72% 29.02% 2.42% 3.86% 2.40% 3.27% 3.05% 3.20% 4.40% 3.94% 6.11% 9.88% 13.56% 22.56% 28.68% 37.04% 39.29%
Sha. Shares
192.9m 206.16m 228.26m 276.05m 241.1m 216.9m 228.87m 235.62m 261.47m 270.29m 273.67m 282.06m 271.26m 278.87m 275.74m 271.12m 250.06m 251.19m 260.37m 270.75m
OCF Operating Cash Flow
$1.27B $1.49B $0.00M $0.00M $0.00M $1.60B $0.00M $1.11B $936.00M $925.00M $0.00M $810.00M $927.00M $1.06B $984.00M $0.00M $1.05B $969.00M $1.04B $950.00M
FCF Free Cash Flow
$939.61M $1.11B $621.00M $668.00M $0.00M $1.09B $452.00M $740.00M $524.00M $568.00M $674.00M $369.00M $455.00M $645.00M $460.00M $0.00M $670.00M $550.00M $671.00M $700.00M
FCFS Free Cash Flow Per Share
$4.33 $5.33 $0.00 $0.00 $0.00 $5.46 $0.00 $2.95 $1.93 $1.77 $0.00 $1.31 $1.60 $2.30 $2.60 $0.00 $2.68 $2.16 $2.51 $2.55