bf/NYSE:DRI_icon.jpeg

NYSE:DRI

Darden Restaurants, Inc.

  • Stock

USD

Last Close

141.90

26/07 20:00

Market Cap

16.48B

Beta: 1.22

Volume Today

1.17M

Avg: 1.32M

PE Ratio

19.60

PFCF: 22.09

Dividend Yield

3.12%

Payout:60.40%

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
May '14
May '15
May '16
May '17
May '18
May '19
May '20
May '21
May '22
May '23
May '24
net income
183.20M
-
196.40M
7.21%
359.70M
83.15%
482.50M
34.14%
603.80M
25.14%
718.60M
19.01%
-49.20M
106.85%
632.40M
1,385.37%
954.70M
50.96%
983.50M
3.02%
1.03B
4.78%
depreciation and amortization
304.40M
-
319.30M
4.89%
290.20M
9.11%
272.90M
5.96%
313.10M
14.73%
336.70M
7.54%
355.90M
5.70%
350.90M
1.40%
368.40M
4.99%
387.80M
5.27%
459.90M
18.59%
deferred income tax
-44.90M
-
42M
193.54%
-10.80M
125.71%
-22.90M
112.04%
-20.60M
10.04%
47.50M
330.58%
-133.60M
381.26%
169.20M
226.65%
-23.70M
114.01%
-133.40M
462.87%
stock based compensation
46.80M
-
53.70M
14.74%
37.30M
30.54%
40.70M
9.12%
42.80M
5.16%
59.80M
39.72%
53M
11.37%
72.40M
36.60%
60.50M
16.44%
67.50M
11.57%
change in working capital
49M
-
304.90M
522.24%
133.20M
56.31%
122.10M
8.33%
-42.10M
134.48%
154.70M
467.46%
-178M
215.06%
131.20M
173.71%
-117M
189.18%
124.60M
206.50%
50.40M
59.55%
accounts receivables
-1.50M
-
7.80M
620%
14M
79.49%
-6.50M
146.43%
-7.20M
10.77%
2.10M
129.17%
-191.10M
9,200%
326.10M
270.64%
-3.90M
101.20%
-65.30M
1,574.36%
inventory
-25.60M
-
64.50M
351.95%
-11.80M
118.29%
5M
142.37%
-26.60M
632%
-2.10M
92.11%
-13.90M
561.90%
16.10M
215.83%
-79.80M
595.65%
-17.30M
78.32%
accounts payables
27.20M
-
-20.90M
176.84%
45.60M
318.18%
-9M
119.74%
12.60M
240%
55M
336.51%
-68.50M
224.55%
48.90M
171.39%
43.20M
11.66%
40.90M
5.32%
other working capital
48.90M
-
253.50M
418.40%
85.40M
66.31%
132.60M
55.27%
-20.90M
115.76%
99.70M
577.03%
95.50M
4.21%
-259.90M
372.15%
-76.50M
70.57%
166.30M
317.39%
50.40M
69.69%
other non cash items
-99.60M
-
1.94B
2,052.01%
-31.60M
101.63%
4.60M
114.56%
104.30M
2,167.39%
-57.90M
155.51%
663.20M
1,245.42%
-162.10M
124.44%
13.20M
108.14%
115.60M
775.76%
990.90M
757.18%
net cash provided by operating activities
438.90M
-
2.86B
551.74%
778M
72.80%
899.90M
15.67%
1.00B
11.27%
1.26B
25.78%
711.30M
43.52%
1.19B
67.86%
1.26B
5.20%
1.55B
23.05%
1.61B
4.29%
investments in property plant and equipment
-414.80M
-
-296.50M
28.52%
-228.30M
23.00%
-315.50M
38.20%
-414M
31.22%
-475.80M
14.93%
-494M
3.83%
-269.10M
45.53%
-399.10M
48.31%
-593.80M
48.78%
-626.80M
5.56%
acquisitions net
185.40M
-
-764.40M
-
-40.40M
94.71%
13.20M
132.67%
-55.80M
522.73%
5.40M
109.68%
10.10M
87.04%
25.40M
151.49%
-697.80M
2,847.24%
purchases of investments
-3M
-
-900K
-
sales maturities of investments
8.70M
-
9.70M
11.49%
1.80M
81.44%
3.70M
105.56%
other investing activites
-25.90M
-
-351.60M
1,257.53%
308.20M
187.66%
6.30M
97.96%
3.50M
44.44%
5.80M
-
net cash used for investing activites
-249.60M
-
-638.40M
155.77%
81.70M
112.80%
-1.07B
1,410.65%
-450.90M
57.89%
-462.60M
2.59%
-544M
17.60%
-263.70M
51.53%
-389M
47.52%
-568.40M
46.12%
-1.32B
133.04%
debt repayment
-2M
-
-1.28B
63,685%
-1.10B
13.76%
-3.90M
99.65%
-413.60M
10,505.13%
-6.20M
98.50%
-755.20M
12,080.65%
-277.10M
63.31%
-12.90M
95.34%
-19.80M
53.49%
-555.30M
2,704.55%
common stock issued
58.10M
-
159.70M
174.87%
99.30M
37.82%
113.10M
13.90%
37.80M
66.58%
59.30M
56.88%
525.90M
786.85%
46.20M
91.22%
40.20M
12.99%
35.40M
11.94%
43.60M
23.16%
common stock repurchased
-500K
-
-502.30M
100,360%
-184.80M
63.21%
-230.20M
24.57%
-234.80M
2.00%
-207.50M
11.63%
-330.30M
59.18%
-45.40M
86.25%
-1.07B
2,259.69%
-458.70M
57.18%
-453.90M
1.05%
dividends paid
-288.30M
-
-278.90M
3.26%
-268.20M
3.84%
-279.10M
4.06%
-313.50M
12.33%
-370.80M
18.28%
-322.30M
13.08%
-202.60M
37.14%
-563M
177.89%
-589.80M
4.76%
-628.40M
6.54%
other financing activites
53.50M
-
112.70M
110.65%
333.10M
195.56%
529.30M
58.90%
287.50M
45.68%
38.80M
86.50%
1.02B
2,530.41%
-2.70M
-
-200K
92.59%
net cash used provided by financing activities
-179.20M
-
-1.78B
895.81%
-1.12B
37.19%
129.20M
111.53%
-636.60M
592.72%
-486.40M
23.59%
138.70M
128.52%
-478.90M
445.28%
-1.61B
236.12%
-1.03B
35.82%
-483.40M
53.21%
effect of forex changes on cash
-7.20M
-
net change in cash
10.10M
-
437.60M
4,232.67%
-261.10M
159.67%
-41.70M
84.03%
-86.20M
106.71%
310.40M
460.09%
306M
1.42%
451.40M
47.52%
-742.60M
264.51%
-55.90M
92.47%
-196.10M
250.81%
cash at beginning of period
88.20M
-
98.30M
11.45%
535.90M
445.17%
274.80M
48.72%
233.10M
15.17%
146.90M
36.98%
457.30M
211.30%
763.30M
66.91%
1.21B
59.14%
472.10M
61.13%
416.20M
11.84%
cash at end of period
98.30M
-
535.90M
445.17%
274.80M
48.72%
233.10M
15.17%
146.90M
36.98%
457.30M
211.30%
763.30M
66.91%
1.21B
59.14%
472.10M
61.13%
416.20M
11.84%
220.10M
47.12%
operating cash flow
438.90M
-
2.86B
551.74%
778M
72.80%
899.90M
15.67%
1.00B
11.27%
1.26B
25.78%
711.30M
43.52%
1.19B
67.86%
1.26B
5.20%
1.55B
23.05%
1.61B
4.29%
capital expenditure
-414.80M
-
-296.50M
28.52%
-228.30M
23.00%
-315.50M
38.20%
-414M
31.22%
-475.80M
14.93%
-494M
3.83%
-269.10M
45.53%
-399.10M
48.31%
-593.80M
48.78%
-626.80M
5.56%
free cash flow
24.10M
-
2.56B
10,539.00%
549.70M
78.56%
584.40M
6.31%
587.30M
0.50%
783.60M
33.42%
217.30M
72.27%
924.90M
325.63%
857M
7.34%
951.80M
11.06%
985.10M
3.50%

All numbers in USD (except ratios and percentages)