$28.01
$0.00 (0.00%)
End-of-day quote: 06/01/2024
NasdaqGS:XRAY

DENTSPLY SIRONA Annual Report

Year Year 2023 2022 2021 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020
Rev. Revenue
$3.97B $3.92B $4.23B $1.69B $1.72B $1.81B $2.01B $2.19B $2.16B $2.22B $2.54B $2.93B $2.95B $2.92B $2.67B $3.75B $3.99B $3.99B $4.03B $3.34B
GM % Gross Margin %
52.71% 54.23% 55.40% 49.96% 50.67% 51.31% 51.78% 52.38% 51.24% 50.88% 50.18% 53.15% 53.46% 54.74% 57.01% 53.42% 54.80% 52.41% 54.36% 50.90%
OM Operating Margin
7.29% 9.13% 14.80% 17.84% 17.82% 17.82% 18.18% 18.84% 17.97% 17.55% 13.18% 13.83% 14.66% 15.63% 17.07% 13.32% 12.64% 8.43% 11.69% 8.11%
EPS Earnings Per Share
$0.00 $1.83 $2.09 $2.87 $1.79 $2.45 $2.01 $2.66 $2.78 $2.62 $2.50 $2.35 $2.22 $2.03 $1.90 $1.84 $1.88 $1.66 $1.42 $1.33 $1.19
Div. Dividends
$0.56 $0.50 $0.43 $0.00 $0.13 $0.15 $0.17 $0.19 $0.20 $0.20 $0.21 $0.22 $0.25 $0.27 $0.29 $0.31 $0.35 $0.35 $0.38 $0.40
PR % Payout Ratio %
30.60% 23.92% 14.98% 0 9.77% 10.56% 10.24% 10.11% 10.87% 10.53% 10.34% 9.91% 10.64% 10.80% 11.07% 11.15% 13.16% 17.41% 15.51% 22.35%
Sha. Shares
207.2m 215.2m 217.4m 161.2m 157.7m 151.79m 150.82m 148.53m 146.96m 141.74m 141.63m 142.32m 142.24m 140.9m 140.1m 230.1m 226.8m 223m 221.3m 218.7m
OCF Operating Cash Flow
$377.00M $517.00M $657.00M $306.26M $232.77M $271.86M $387.70M $335.98M $362.49M $377.46M $393.47M $369.69M $417.80M $560.40M $497.40M $563.40M $601.90M $500.00M $633.00M $635.00M
FCF Free Cash Flow
$199.55M $368.00M $515.00M $254.22M $187.48M $221.24M $323.54M $259.54M $306.01M $318.09M $322.28M $277.61M $317.50M $460.82M $425.40M $438.40M $457.60M $317.30M $509.90M $548.00M
FCFS Free Cash Flow Per Share
$1.08 $1.71 $2.36 $1.53 $1.16 $1.41 $2.12 $1.72 $2.06 $2.30 $2.26 $1.93 $2.22 $3.21 $3.04 $2.01 $1.97 $1.39 $2.29 $2.50