bf/NYSE:DRI_icon.jpeg

NYSE:DRI

Darden Restaurants, Inc.

  • Stock

USD

Last Close

151.42

17/05 20:00

Market Cap

19.22B

Beta: 1.22

Volume Today

1.18M

Avg: 1.32M

PE Ratio

19.60

PFCF: 22.09

Dividend Yield

3.12%

Payout:60.40%

May '13
May '14
May '15
May '16
May '17
May '18
May '19
May '20
May '21
May '22
May '23
net income
412.60M
-
183.20M
55.60%
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%
depreciation and amortization
394.80M
-
304.40M
22.90%
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%
deferred income tax
-2.10M
-
-44.90M
2,038.10%
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
49.30M
-
46.80M
5.07%
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
92.80M
-
49M
47.20%
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%
accounts receivables
-9.40M
-
-1.50M
84.04%
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
50.60M
-
-25.60M
150.59%
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
10.80M
-
27.20M
151.85%
-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
40.80M
-
48.90M
19.85%
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%
other non cash items
1.90M
-
-99.60M
5,342.11%
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%
net cash provided by operating activities
949.30M
-
438.90M
53.77%
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%
investments in property plant and equipment
-685.60M
-
-414.80M
39.50%
-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%
acquisitions net
-577.40M
-
185.40M
132.11%
-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%
purchases of investments
-12.90M
-
-3M
76.74%
-900K
-
sales maturities of investments
26M
-
8.70M
66.54%
9.70M
11.49%
1.80M
81.44%
3.70M
105.56%
other investing activites
-37.10M
-
-25.90M
30.19%
-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
-1.29B
-
-249.60M
80.61%
-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%
debt repayment
-455.70M
-
-2M
99.56%
-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%
common stock issued
64.40M
-
58.10M
9.78%
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%
common stock repurchased
-52.40M
-
-500K
99.05%
-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%
dividends paid
-258.20M
-
-288.30M
11.66%
-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%
other financing activites
1.06B
-
53.50M
94.94%
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
355.40M
-
-179.20M
150.42%
-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%
effect of forex changes on cash
-7.20M
-
net change in cash
17.70M
-
10.10M
42.94%
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%
cash at beginning of period
70.50M
-
88.20M
25.11%
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%
cash at end 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%
operating cash flow
949.30M
-
438.90M
53.77%
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%
capital expenditure
-685.60M
-
-414.80M
39.50%
-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%
free cash flow
263.70M
-
24.10M
90.86%
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%

All numbers in USD (except ratios and percentages)