Pool 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
$1.31B $1.55B $1.91B $1.93B $1.78B $1.54B $1.61B $1.79B $1.95B $2.08B $2.25B $2.36B $2.57B $2.79B $3.00B $3.20B $3.94B $5.30B $6.18B $5.54B $0.00M
GM % Gross Margin %
28.29% 27.85% 28.27% 27.52% 28.89% 29.21% 29.20% 29.64% 29.04% 28.43% 28.64% 28.59% 28.83% 28.88% 29.02% 28.91% 28.73% 30.54% 31.29% 29.96% 0.00%
OM Operating Margin
8.25% 8.72% 8.76% 6.94% 6.47% 5.74% 6.27% 7.06% 7.77% 7.96% 8.41% 9.15% 9.95% 10.20% 10.47% 10.67% 11.96% 15.68% 16.61% 13.48% 0.00%
EPS Earnings Per Share
$1.50 $1.74 $1.37 $1.18 $0.95 $1.15 $1.49 $1.85 $2.05 $2.44 $2.90 $3.47 $3.99 $5.62 $6.40 $8.42 $15.18 $18.43 $13.18 $0.00
Div. Dividends
$0.20 $0.34 $0.41 $0.47 $0.51 $0.52 $0.52 $0.55 $0.62 $0.73 $0.85 $1.00 $1.19 $1.42 $1.72 $2.10 $2.29 $2.98 $3.80 $4.30 $0.00
PR % Payout Ratio %
16.81% 22.67% 23.56% 34.31% 43.22% 54.74% 45.22% 36.91% 33.51% 35.61% 34.84% 34.48% 34.29% 35.59% 30.60% 32.81% 27.20% 19.63% 20.62% 32.63% 0
Sha. Shares
52.16m 52.11m 50.86m 50.88m 47.83m 48.96m 49.7m 47.62m 46.7m 45.94m 43.42m 42.6m 41.34m 40.17m 40.26m 40.04m 39.94m 40.09m 39.05m 38.68m 38.49m
OCF Operating Cash Flow
$57.90M $39.45M $69.01M $71.64M $93.28M $113.25M $93.96M $75.10M $119.08M $105.09M $121.82M $146.05M $165.38M $175.31M $118.66M $298.78M $397.58M $313.49M $484.85M $888.23M $0.00M
FCF Free Cash Flow
$51.84M $31.09M $54.23M $61.01M $86.28M $106.08M $85.88M $55.65M $102.81M $86.35M $104.49M $116.96M $131.03M $135.92M $87.08M $265.41M $375.88M $275.83M $441.24M $789.33M $0.00M
FCFS Free Cash Flow Per Share
$0.98 $0.59 $1.05 $1.25 $1.80 $2.18 $1.74 $1.16 $2.19 $1.87 $2.36 $2.71 $3.13 $3.33 $2.16 $6.66 $9.37 $6.92 $11.20 $21.40 $0.00