$50.16
+ $1.21 (2.47%)
End-of-day quote: 05/17/2024
NYSE:BBWI

Bath & Body Works Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Rev. Revenue
$7.56B $7.88B $6.43B $5.41B $13.24B $12.63B $12.57B $12.15B $11.45B $10.77B $10.46B $10.36B $9.61B $8.63B $9.04B $10.13B $10.67B $9.70B $9.41B
GM % Gross Margin %
43.06% 48.91% 52.07% 49.03% 43.43% 44.87% 46.24% 47.82% 47.03% 46.13% 47.25% 44.58% 43.16% 40.94% 38.64% 40.05% 43.26% 41.84% 42.37%
OM Operating Margin
18.20% 25.49% 29.34% 37.98% 11.03% 13.68% 16.21% 18.04% 17.05% 16.18% 16.35% 14.92% 13.42% 9.99% 7.94% 8.90% 11.02% 10.08% 10.92%
EPS Earnings Per Share
$0.00 $3.27 $3.40 $4.51 $3.46 $2.29 $2.82 $3.20 $3.74 $3.99 $3.50 $3.05 $2.92 $2.60 $2.06 $1.23 $1.05 $1.21 $1.68 $1.33 $1.40
Div. Dividends
$0.80 $0.45 $0.30 $1.20 $2.40 $2.40 $4.40 $2.00 $2.36 $1.20 $5.00 $3.80 $4.60 $0.60 $0.60 $0.60 $0.60 $0.60 $0.48
PR % Payout Ratio %
23.53% 9.98% 8.67% 52.40% 85.11% 75.00% 117.65% 50.13% 67.43% 39.34% 171.23% 146.15% 223.30% 48.78% 57.14% 49.59% 35.71% 45.11% 34.29%
Sha. Shares
229m 254m 278m 277m 275m 280m 286m 290m 292m 291m 289m 295m 321m 323m 321m 346m 398m 395m 407m
OCF Operating Cash Flow
$1.14B $1.49B $2.04B $1.24B $1.38B $1.41B $1.99B $2.03B $1.79B $1.25B $1.35B $1.27B $1.28B $1.17B $954.00M $765.00M $600.00M $1.08B $933.00M
FCF Free Cash Flow
$816.00M $1.22B $1.81B $777.64M $748.00M $699.00M $900.00M $1.14B $1.07B $557.00M $763.00M $840.00M $1.01B $972.00M $475.00M $16.00M $52.00M $601.00M $502.00M
FCFS Free Cash Flow Per Share
$3.52 $4.54 $6.51 $2.82 $2.71 $2.46 $3.48 $4.47 $3.67 $1.92 $2.63 $2.76 $3.13 $3.02 $1.42 $0.04 $0.13 $1.49 $1.07