Sonoco Products 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
$3.16B $3.53B $3.66B $4.04B $4.12B $3.60B $4.12B $4.50B $4.81B $4.86B $5.02B $4.96B $4.78B $5.04B $5.39B $5.37B $5.24B $5.59B $7.25B $6.78B $0.00M
GM % Gross Margin %
18.22% 18.73% 19.28% 18.66% 17.56% 18.52% 18.61% 16.82% 17.44% 17.72% 18.10% 18.72% 19.78% 19.03% 19.31% 19.68% 19.98% 19.00% 20.31% 21.25% 0.00%
OM Operating Margin
8.33% 8.47% 9.46% 8.52% 8.48% 7.77% 8.83% 8.26% 7.81% 7.71% 8.17% 8.10% 9.12% 8.33% 9.13% 9.51% 9.41% -0.82% 10.89% 10.30% 0.00%
EPS Earnings Per Share
$1.92 $2.14 $2.38 $2.24 $1.78 $2.34 $2.29 $2.21 $2.30 $2.54 $2.51 $2.72 $2.79 $3.37 $3.53 $3.41 $3.55 $6.48 $5.26 $0.00
Div. Dividends
$0.87 $0.91 $0.95 $1.02 $1.07 $1.08 $1.11 $1.15 $1.19 $1.23 $1.27 $1.37 $1.46 $1.54 $1.62 $1.70 $1.72 $1.80 $1.92 $2.02 $0.00
PR % Payout Ratio %
54.38% 47.40% 44.39% 42.86% 47.77% 60.67% 47.44% 50.22% 53.85% 53.48% 50.00% 54.58% 53.68% 55.20% 48.07% 48.16% 50.44% 50.70% 29.63% 38.40% 0
Sha. Shares
98.27m 99.11m 99.75m 99.43m 99.73m 100.01m 101.15m 99.98m 100.74m 101.95m 101.26m 100.94m 99.85m 99.4m 99.81m 100.1m 100.33m 98.32m 97.49m 0m 97.96m
OCF Operating Cash Flow
$252.19M $227.36M $482.56M $445.14M $379.39M $390.99M $375.14M $245.28M $403.92M $538.03M $417.92M $452.93M $398.68M $348.25M $589.90M $425.85M $705.62M $298.67M $509.05M $882.92M $0.00M
FCF Free Cash Flow
$132.39M $98.25M $359.28M $275.70M $256.28M $286.84M $229.23M $71.90M $221.02M $369.90M $240.84M $260.64M $212.06M $160.45M $421.61M $244.53M $521.96M $55.82M $189.90M $649.03M $0.00M
FCFS Free Cash Flow Per Share
$1.35 $0.99 $3.59 $2.74 $2.55 $2.85 $2.26 $0.71 $1.86 $3.56 $2.36 $2.57 $2.10 $1.59 $3.95 $2.28 $5.07 $0.43 $1.84 $5.29 $0.00