Albemarle financials at a glance

Year Year 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2021 2022 2023 2024
Rev. Revenue
$3.13B $3.59B $3.37B $3.07B $2.68B $2.83B $2.45B $2.39B $2.52B $2.87B $2.36B $2.01B $2.47B $2.34B $2.37B $2.11B $1.51B $3.33B $7.32B $9.62B $0.00M
GM % Gross Margin %
31.86% 35.06% 36.59% 37.28% 36.24% 32.41% 31.52% 35.52% 35.68% 33.35% 31.40% 24.13% 24.63% 26.65% 23.26% 20.09% 20.18% 30.30% 42.05% 12.45% 0.00%
OM Operating Margin
16.31% 20.33% 22.21% 21.05% 20.04% 18.63% 13.39% 25.48% 19.98% 18.11% 17.31% 10.49% 11.56% 13.48% 11.26% 7.69% 7.69% 17.87% 35.06% 4.86% 0.00%
EPS Earnings Per Share
$1.20 $2.02 $2.39 $2.39 $1.94 $3.56 $4.77 $4.85 $4.06 $4.20 $3.94 $3.57 $4.59 $5.48 $6.04 $4.12 $4.04 $21.96 $22.25 $0.00
Div. Dividends
$1.54 $1.47 $1.34 $1.28 $1.22 $1.16 $1.10 $0.96 $0.80 $0.67 $0.56 $0.50 $0.48 $0.42 $0.17 $0.31 $0.29 $1.56 $1.58 $1.60 $0.00
PR % Payout Ratio %
37.38% 24.34% 24.45% 27.89% 34.17% 29.44% 26.19% 23.65% 16.49% 14.05% 15.73% 25.77% 20.08% 17.57% 8.42% 25.83% 32.58% 38.61% 7.19% 7.19% 0
Sha. Shares
106.46m 106.03m 106.21m 110.5m 112.48m 112.2m 78.25m 81.4m 89.26m 88.76m 91.57m 91.68m 91.21m 95.83m 94.97m 93.24m 83.32m 116.98m 116.98m 117.35m 117.4m
OCF Operating Cash Flow
$798.91M $719.37M $546.17M $303.98M $735.52M $360.81M $492.61M $432.86M $488.77M $487.36M $331.31M $358.53M $327.16M $246.36M $376.29M $168.86M $191.56M $344.26M $1.91B $1.33B $0.00M
FCF Free Cash Flow
$-51.56M $-132.42M $-154.00M $-13.70M $536.75M $133.04M $348.62M $278.00M $208.13M $292.25M $255.83M $257.74M $227.42M $147.62M $276.44M $98.78M $133.91M $-609.41M $646.20M $-861.84M $0.00M
FCFS Free Cash Flow Per Share
$-0.48 $-1.25 $-1.42 $-0.12 $4.80 $1.20 $4.85 $3.31 $2.33 $3.28 $2.80 $2.82 $2.48 $1.55 $2.92 $1.07 $1.61 $-5.26 $5.52 $-7.02 $0.00