74.36€
0.00€ (0.00%)
End-of-day quote: 04/27/2024
XTRA:DAI

Daimler Annual Report

Year Year 2009 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2008 2007 2006 2005 2004
Rev. Revenue
78.92€B 150.02€B 133.89€B 133.89€B 172.75€B 167.36€B 164.15€B 153.26€B 149.47€B 129.87€B 117.98€B 114.30€B 106.54€B 97.76€B 98.47€B 101.57€B 99.22€B 95.21€B 142.06€B
GM % Gross Margin %
16.04% 21.72% 21.93% 30675.00% 15.98% 18.45% 20.07% 20.14% 20.27% 20.99% 20.55% 21.46% 23.10% 22.38% 22.36% 23.26% 20.24% 19.91% 18.41%
OM Operating Margin
-0.25% 11.64% 11.12% 0.09% 1.46% 5.62% 7.57% 8.22% 8.45% 7.21% 6.46% 6.80% 7.58% 6.82% 7.07% 8.45% 5.52% 3.85% 2.64%
EPS Earnings Per Share
0.00€ 12.65€ 13.69€ 14.03€ 4.60€ 6.16€ 6.78€ 9.84€ 8.85€ 8.23€ 6.10€ 4.07€ 5.33€ 5.52€ 3.99€ -1.90€ 5.18€ 3.65€ 3.14€ 2.80€ 2.43€
Div. Dividends
0.00€ 5.20€ 5.00€ 1.35€ 0.90€ 3.25€ 3.65€ 3.25€ 3.25€ 2.45€ 2.25€ 2.20€ 2.20€ 1.85€ 0.60€ 2.00€ 1.50€ 1.50€ 1.50€
PR % Payout Ratio %
-0.00% 37.98% 35.64% 29.35% 14.61% 47.94% 37.09% 36.72% 39.49% 40.16% 55.28% 41.28% 39.86% 46.37% 11.58% 54.79% 47.77% 53.57% 61.73%
Sha. Shares
1024.07m 1069.84m 1069.84m 59,260m 1069.84m 1069.84m 1069.84m 1069.8m 1069.84m 1069.8m 1069.77m 1067.58m 1,066m 1065.4m 927m 1013.87m 1028.16m 1018.17m 1012.82m
OCF Operating Cash Flow
10.96€B 16.89€B 24.55€B 18.98€B 7.89€B 343.00€M -1652.00€M 3.71€B 222.00€M -1274.00€M 3.29€B -1100.00€M -696.00€M 8.54€B -786.00€M 7.15€B 14.34€B 11.03€B 11.06€B
FCF Free Cash Flow
8.54€B 8.13€B 8.61€B 8.26€B 1.37€B 2.90€B 2.01€B 3.87€B 3.96€B 5.48€B 4.84€B -5927.00€M -4854.00€M 4.89€B -5888.00€M 4.22€B 8.40€B 4.45€B -13518.00€M
FCFS Free Cash Flow Per Share
7.09€ 9.34€ 16.10€ 12.87€ -2.75€ -9.68€ -11.04€ -4.79€ -6.65€ -7.09€ -3.39€ -7.27€ -6.17€ 3.17€ -6.23€ 1.49€ -8.48€ -9.29€ -13.35€