$83.92
$0.00 (0.00%)
End-of-day quote: 05/04/2024
NYSE:PII

Polaris 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
$9.01B $8.64B $7.49B $7.11B $6.86B $6.17B $5.50B $4.60B $4.79B $4.54B $3.82B $3.24B $2.68B $2.01B $1.58B $1.97B $1.83B $1.70B $1.91B $1.81B
GM % Gross Margin %
22.63% 23.25% 24.09% 25.19% 25.20% 25.76% 25.45% 25.77% 29.41% 30.41% 30.52% 29.57% 28.52% 27.52% 25.92% 23.71% 24.01% 23.86% 23.56% 24.85%
OM Operating Margin
7.77% 9.31% 9.50% 8.32% 7.05% 7.90% 6.53% 7.62% 14.96% 15.74% 15.12% 14.75% 13.05% 11.26% 10.42% 9.28% 9.64% 9.86% 10.74% 11.41%
EPS Earnings Per Share
$0.00 $9.16 $10.40 $9.13 $7.74 $6.32 $6.56 $4.85 $3.48 $6.75 $6.65 $5.40 $4.40 $3.20 $2.13 $1.53 $1.75 $1.55 $1.36 $1.65 $1.52
Div. Dividends
$2.59 $2.56 $2.52 $2.48 $2.44 $2.40 $2.32 $2.20 $2.12 $1.92 $1.68 $1.48 $0.90 $0.80 $0.78 $0.76 $0.68 $0.62 $0.56 $0.46
PR % Payout Ratio %
28.28% 24.62% 27.60% 32.04% 38.61% 36.59% 47.84% 63.22% 31.41% 28.87% 31.11% 33.64% 28.13% 37.56% 50.98% 43.43% 43.87% 45.59% 33.94% 30.26%
Sha. Shares
56.5m 57m 60.4m 61.9m 61.41m 60.89m 63.08m 63.11m 65.31m 66.31m 65.62m 68.65m 68.43m 68.47m 65.3m 64.98m 68.42m 70.91m 83.37m 85.48m
OCF Operating Cash Flow
$925.80M $508.60M $293.70M $1.02B $655.04M $477.11M $585.41M $589.63M $440.23M $529.27M $492.24M $416.11M $302.53M $297.62M $193.20M $175.75M $210.16M $145.62M $146.36M $238.53M
FCF Free Cash Flow
$411.53M $202.00M $-4.60M $804.70M $403.66M $251.70M $395.59M $362.65M $190.75M $324.19M $240.84M $313.03M $218.05M $242.20M $149.27M $99.15M $146.41M $92.98M $56.59M $149.69M
FCFS Free Cash Flow Per Share
$8.99 $3.41 $0.18 $13.00 $6.57 $4.03 $6.37 $5.92 $2.89 $4.90 $3.51 $4.55 $3.17 $3.62 $2.30 $1.51 $2.08 $1.15 $0.67 $1.77