Rayonier 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
$1.16B $1.18B $1.12B $1.23B $1.27B $1.17B $1.32B $1.43B $379.16M $660.28M $603.52M $568.80M $815.92M $819.60M $816.14M $711.56M $859.15M $1.11B $909.07M $1.06B $0.00M
GM % Gross Margin %
19.41% 19.39% 24.77% 24.73% 21.92% 21.53% 24.78% 29.39% 19.43% 19.61% 19.83% 22.34% 35.48% 30.67% 25.84% 21.53% 18.85% 28.25% 24.29% 28.07% 0.00%
OM Operating Margin
14.85% 14.81% 19.89% 20.13% 17.82% 35.36% 20.34% 25.46% 7.86% 13.87% 14.74% 14.63% 31.16% 25.88% 20.74% 15.38% 12.81% 23.03% 17.14% 20.81% 0.00%
EPS Earnings Per Share
$1.55
Div. Dividends
$1.00 $1.13 $1.25 $1.29 $1.33 $1.33 $1.36 $1.52 $1.68 $1.86 $2.03 $1.00 $1.00 $1.00 $1.06 $1.08 $1.08 $1.08 $1.13 $1.14 $0.00
PR % Payout Ratio %
0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 73.55% 0
Sha. Shares
112.12m 113.78m 114.83m 115.23m 117.13m 118.97m 120.64m 121.56m 121.92m 124.73m 126.69m 123.56m 122.53m 128.53m 129.15m 129m 136.35m 138.64m 142.99m 148.27m 148.27m
OCF Operating Cash Flow
$295.43M $261.91M $306.93M $324.02M $340.19M $307.30M $495.39M $432.27M $445.91M $546.79M $320.42M $177.16M $203.80M $268.00M $310.10M $214.25M $204.17M $325.11M $269.19M $298.38M $0.00M
FCF Free Cash Flow
$118.50M $153.12M $-76.31M $204.14M $5.68M $215.63M $351.58M $288.00M $114.70M $224.80M $61.96M $119.90M $145.10M $175.20M $247.80M $150.26M $137.70M $249.10M $194.38M $173.96M $0.00M
FCFS Free Cash Flow Per Share
$1.06 $1.35 $-0.67 $1.75 $0.05 $1.82 $2.92 $-0.63 $-0.12 $2.51 $0.99 $0.17 $-1.81 $-0.32 $1.47 $0.06 $0.84 $0.50 $-1.81 $1.37 $0.00