JABIL INCJBL

Market cap
$23.2B
P/E ratio
2012/082013/082014/082015/082016/082017/082018/082019/082020/082021/082022/082023/082024/08
Depreciation & amortization353418487529697760774772795876925924696
Stock-based compensation8168116359--------
Cash from operations 6341,2144991,2409161,2579341,1931,2571,4331,6511,7341,716
Capital expenditures-498-737-624-963-924-716-1,037-1,005-983-1,159-1,385-1,030-784
Cash from investing -606-1,37461-1,121-1,180-579-798-872-921-851-858-7231,351
Payments for dividends 65676863626058525050484542
Repurchases of common stock71129260861483074503502154286964872,500
Cash from financing 317-23-577-163254-405-47-416-65-413-888-680-2,668
Free cash flow
FCF margin (%)