$282.16
$0.00 (0.00%)
End-of-day quote: 04/26/2024
NYSE:WSM

Williams-Sonoma 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
$8.67B $8.25B $6.78B $5.90B $5.67B $5.29B $5.08B $4.98B $4.70B $4.39B $4.04B $3.72B $3.50B $3.10B $3.36B $3.94B $3.73B $3.54B $3.14B
GM % Gross Margin %
42.40% 44.05% 39.03% 36.27% 37.04% 36.50% 37.05% 37.06% 38.32% 38.84% 39.39% 39.24% 39.21% 35.56% 39.57% 43.55% 44.35% 44.88% 44.90%
OM Operating Margin
17.45% 17.62% 13.99% 7.90% 7.79% 8.64% 9.40% 9.81% 10.58% 10.32% 10.44% 10.34% 9.37% 4.90% 2.62% 7.97% 8.71% 9.77% 9.88%
EPS Earnings Per Share
$0.00 $16.54 $14.85 $9.04 $4.84 $4.46 $3.61 $3.43 $3.37 $3.20 $2.84 $2.58 $2.24 $1.95 $0.95 $0.35 $1.76 $1.76 $1.88 $1.60
Div. Dividends
$2.93 $2.60 $2.02 $1.92 $1.77 $1.56 $1.48 $1.42 $1.34 $1.26 $0.88 $0.73 $0.68 $0.48 $0.48 $0.46 $0.40 $0.00 $0.00
PR % Payout Ratio %
17.71% 17.51% 22.35% 39.67% 39.69% 43.21% 43.15% 42.14% 41.88% 44.37% 34.11% 32.59% 34.87% 50.53% 137.14% 26.14% 22.73% 0.00% 0.00%
Sha. Shares
66.23m 71.98m 76.33m 77.14m 78.81m 83.73m 87.33m 89.56m 91.89m 94.05m 97.73m 100.45m 104.89m 106.96m 105.66m 105.35m 109.87m 114.78m 115.37m
OCF Operating Cash Flow
$1.05B $1.37B $1.27B $607.29M $585.99M $499.70M $524.71M $544.03M $461.70M $453.77M $364.13M $291.33M $355.99M $490.72M $230.16M $245.54M $309.11M $348.37M $304.44M
FCF Free Cash Flow
$698.71M $1.14B $1.11B $421.02M $395.88M $309.99M $327.30M $341.09M $256.90M $259.82M $158.72M $160.98M $294.08M $418.46M $38.37M $33.52M $118.13M $196.58M $122.99M
FCFS Free Cash Flow Per Share
$10.27 $15.41 $14.31 $5.39 $4.86 $3.62 $3.69 $3.76 $2.74 $2.69 $1.60 $1.54 $2.75 $3.96 $0.36 $0.31 $1.04 $1.70 $1.06