$35.39
$0.00 (0.00%)
End-of-day quote: 05/18/2024
NYSE:HOG

Harley-Davidson Annual Report

Year Year 2023 2022 2021 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020
Rev. Revenue
$5.84B $5.76B $5.34B $5.32B $5.67B $6.19B $6.14B $5.96B $4.78B $4.86B $5.31B $5.58B $5.90B $6.23B $6.00B $6.00B $5.65B $5.72B $5.36B $4.05B
GM % Gross Margin %
30.61% 31.92% 35.14% 39.25% 39.34% 39.50% 39.68% 33.73% 27.52% 33.04% 34.17% 35.74% 36.19% 36.81% 37.07% 35.20% 33.79% 33.47% 30.25% 25.60%
OM Operating Margin
14.65% 16.58% 15.70% 25.59% 25.82% 25.82% 23.21% 17.99% 9.72% 15.21% 16.91% 18.43% 19.55% 20.57% 19.72% 17.49% 15.78% 14.39% 11.50% 3.40%
EPS Earnings Per Share
$0.00 $4.87 $4.96 $4.21 $0.77 $3.36 $3.68 $3.43 $3.83 $3.69 $3.88 $3.28 $2.72 $2.33 $1.11 $0.30 $2.84 $3.74 $3.93 $3.41 $3.00
Div. Dividends
$0.66 $0.63 $0.60 $0.41 $0.63 $0.81 $1.06 $1.29 $0.40 $0.40 $0.48 $0.62 $0.84 $1.10 $1.24 $1.40 $1.46 $1.48 $1.50 $0.44
PR % Payout Ratio %
13.55% 12.70% 14.25% 13.67% 18.48% 20.61% 28.34% 45.42% 133.33% 36.04% 20.60% 22.79% 25.61% 28.35% 33.60% 36.55% 42.57% 40.22% 44.64% 57.14%
Sha. Shares
136.31m 145.86m 153.57m 294.31m 273.89m 257.71m 237.81m 231.75m 232.7m 233.44m 228.56m 224.41m 219.02m 210.96m 183.88m 174.58m 166.49m 157.76m 150.46m 152.93m
OCF Operating Cash Flow
$754.89M $548.46M $975.70M $835.83M $962.61M $761.78M $798.15M $-683.06M $537.71M $1.09B $885.29M $801.46M $977.09M $1.15B $1.10B $1.17B $1.01B $1.21B $868.27M $1.18B
FCF Free Cash Flow
$702.23M $396.79M $855.52M $622.28M $764.22M $542.18M $556.04M $-915.23M $420.96M $992.57M $696.26M $604.07M $768.77M $914.36M $840.14M $1.08B $798.77M $992.41M $686.83M $1.05B
FCFS Free Cash Flow Per Share
$3.85 $2.68 $5.56 $2.11 $2.73 $2.05 $2.23 $-3.89 $1.81 $3.95 $2.99 $2.70 $3.46 $4.23 $4.15 $5.11 $4.64 $5.99 $4.37 $6.83