THOR Industries financials at a glance

Year Year 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2023 2022 2024
Rev. Revenue
$2.19B $2.56B $3.07B $2.86B $2.64B $1.52B $2.28B $2.34B $2.64B $3.24B $3.53B $4.01B $4.58B $7.25B $8.33B $7.86B $8.17B $12.32B $11.12B $16.31B $0.00M
GM % Gross Margin %
13.62% 13.12% 14.07% 12.72% 12.28% 10.02% 13.56% 12.77% 12.10% 13.10% 13.34% 13.91% 15.85% 14.40% 13.98% 13.15% 13.69% 15.38% 14.35% 17.20% 0.00%
OM Operating Margin
7.29% 7.12% 8.04% 6.47% 5.55% 1.81% 7.02% 5.58% 6.08% 6.80% 7.06% 7.25% 8.56% 7.72% 7.59% 5.38% 4.74% 7.37% 5.26% 9.40% 0.00%
EPS Earnings Per Share
$2.13 $3.03 $2.41 $1.82 $0.44 $2.08 $1.96 $2.26 $2.88 $3.30 $3.79 $5.02 $7.09 $8.14 $5.28 $4.17 $11.85 $20.59 $6.95 $0.00
Div. Dividends
$0.10 $0.12 $0.24 $0.28 $2.28 $0.28 $0.78 $0.40 $0.60 $2.22 $1.92 $1.08 $1.20 $1.32 $1.48 $1.56 $1.60 $1.64 $1.80 $1.72 $0.00
PR % Payout Ratio %
5.41% 5.63% 7.92% 11.62% 125.27% 63.64% 37.50% 20.41% 26.55% 77.08% 58.18% 28.50% 23.90% 18.62% 18.18% 29.55% 38.37% 13.84% 25.90% 8.35% 0
Sha. Shares
0m 56.83m 56.57m 55.6m 55.8m 55.41m 51.46m 55.81m 54.84m 52.96m 53.3m 53.39m 52.48m 52.59m 52.69m 52.81m 55.2m 55.37m 53.52m 55.62m 53.32m
OCF Operating Cash Flow
$82.38M $129.85M $137.26M $232.75M $122.11M $48.57M $100.65M $114.80M $118.84M $145.07M $149.26M $247.86M $341.21M $419.33M $466.51M $508.02M $540.94M $526.48M $981.63M $990.12M $0.00M
FCF Free Cash Flow
$56.28M $83.67M $107.09M $219.10M $107.63M $42.94M $88.35M $81.05M $108.78M $115.11M $118.86M $205.58M $289.23M $304.30M $328.31M $377.80M $434.24M $397.65M $773.44M $747.90M $0.00M
FCFS Free Cash Flow Per Share
$0.98 $1.48 $1.90 $3.94 $1.94 $0.77 $1.67 $1.47 $2.02 $2.28 $2.23 $3.87 $5.51 $5.79 $6.23 $7.01 $7.87 $7.19 $14.46 $13.59 $0.00