$119.09
$0.00 (0.00%)
End-of-day quote: 05/18/2024
NasdaqGS:STRA

Strategic Education Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
$1.13B $1.07B $1.13B $1.03B $997.14M $634.19M $454.85M $441.09M $434.44M $446.04M $503.60M $561.98M $627.43M $636.73M $511.96M $396.28M $318.01M $263.65M $220.51M $183.19M
GM % Gross Margin %
44.93% 43.94% 46.25% 48.17% 46.79% 41.41% 40.87% 45.11% 46.21% 47.02% 45.54% 46.60% 53.46% 58.04% 57.31% 66.98% 65.77% 65.44% 65.09% 65.14%
OM Operating Margin
9.98% 6.94% 9.77% 13.19% 13.28% 6.77% 12.44% 12.35% 16.14% 18.33% 17.30% 20.21% 28.55% 34.26% 33.67% 32.01% 30.68% 30.17% 33.95% 35.75%
EPS Earnings Per Share
$0.00 $3.72 $2.51 $4.82 $6.68 $6.67 $4.75 $3.11 $2.98 $3.70 $4.12 $4.64 $5.76 $8.88 $9.70 $7.60 $5.67 $4.47 $3.61 $3.26 $2.74
Div. Dividends
$2.40 $2.40 $2.40 $2.40 $2.10 $1.50 $0.00 $0.00 $0.00 $0.00 $0.00 $4.00 $4.00 $3.25 $2.25 $1.63 $1.31 $1.06 $0.63 $0.38
PR % Payout Ratio %
64.52% 95.62% 49.79% 35.93% 31.48% 31.58% 0 0 0.00% 0.00% 0.00% 69.44% 45.05% 33.51% 29.61% 28.75% 29.31% 29.36% 19.33% 13.87%
Sha. Shares
24.16m 24.16m 24.35m 24.17m 21.75m 21.26m 10.7m 10.62m 10.59m 10.58m 10.51m 10.95m 11.41m 12.98m 13.6m 13.97m 14.2m 14.09m 14.29m 14.67m
OCF Operating Cash Flow
$117.12M $126.05M $180.53M $142.91M $202.15M $46.87M $56.16M $44.52M $77.55M $77.98M $84.09M $82.06M $154.36M $162.82M $141.77M $88.57M $80.75M $61.77M $55.14M $58.13M
FCF Free Cash Flow
$74.10M $82.88M $131.09M $96.09M $163.46M $19.32M $38.10M $31.35M $64.21M $70.65M $75.37M $57.33M $124.37M $116.81M $111.34M $67.91M $65.88M $48.61M $42.86M $47.07M
FCFS Free Cash Flow Per Share
$3.43 $3.50 $5.47 $4.25 $7.52 $1.27 $3.57 $2.96 $6.13 $6.73 $7.12 $5.03 $10.45 $8.70 $8.13 $4.85 $4.62 $3.42 $2.96 $3.32