Air Products and Chemicals financials at a glance

Year Year 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Rev. Revenue
$7.03B $7.67B $7.89B $9.15B $10.41B $8.26B $8.62B $9.67B $9.61B $10.18B $10.44B $7.82B $7.50B $8.19B $8.93B $8.92B $8.86B $10.32B $12.70B $12.60B $0.00M
GM % Gross Margin %
27.55% 27.39% 26.23% 26.77% 26.13% 26.94% 27.01% 26.62% 26.63% 26.60% 26.91% 28.45% 31.00% 29.75% 30.69% 33.00% 33.85% 30.39% 26.46% 29.90% 0.00%
OM Operating Margin
12.32% 12.54% 13.10% 14.59% 14.61% 14.37% 15.61% 15.97% 15.80% 15.18% 15.84% 17.95% 21.42% 22.53% 21.56% 24.48% 25.37% 22.81% 19.36% 21.05% 0.00%
EPS Earnings Per Share
$3.08 $3.50 $4.37 $4.97 $4.05 $5.02 $5.73 $5.40 $5.50 $5.78 $6.57 $7.55 $6.31 $7.45 $8.21 $8.38 $9.02 $10.41 $11.51 $0.00
Div. Dividends
$1.04 $1.25 $1.34 $1.48 $1.70 $1.79 $1.92 $2.23 $2.50 $2.77 $3.02 $3.20 $3.39 $3.71 $4.25 $4.58 $5.18 $5.84 $6.36 $6.87 $0.00
PR % Payout Ratio %
39.39% 40.58% 38.29% 33.87% 34.21% 44.20% 38.25% 38.92% 46.30% 50.36% 52.25% 48.71% 44.90% 58.80% 57.05% 55.79% 61.81% 64.75% 61.10% 59.69% 0
Sha. Shares
0m 225.77m 222.11m 216.94m 215.39m 209.59m 212.04m 214.45m 210.52m 208.73m 211.49m 214.02m 215.49m 217.43m 218.82m 219.55m 220.49m 221.05m 221.68m 221.99m 222.23m
OCF Operating Cash Flow
$1.09B $1.35B $1.35B $1.50B $1.66B $1.33B $1.52B $1.75B $1.80B $1.57B $2.19B $2.47B $2.66B $1.56B $2.53B $2.97B $3.26B $3.34B $3.23B $3.21B $0.00M
FCF Free Cash Flow
$399.40M $435.70M $138.80M $486.70M $573.70M $150.30M $533.70M $401.50M $244.10M $28.90M $502.20M $823.00M $1.65B $1.49B $986.30M $980.20M $755.70M $871.00M $244.00M $-1420.70M $0.00M
FCFS Free Cash Flow Per Share
$1.78 $1.93 $0.63 $2.25 $2.70 $0.72 $2.52 $2.08 $1.31 $0.21 $3.88 $6.08 $8.24 $2.40 $4.40 $4.45 $3.42 $3.96 $1.37 $-6.39 $0.00