RYDER SYSTEM INCR

Market cap
$6.5B
P/E ratio
16x
Dec 31,
2010
Dec 31,
2011
Dec 31,
2012
Dec 31,
2013
Dec 31,
2014
Dec 31,
2015
Dec 31,
2016
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Net earnings118170210238219305262791273-24-122519867406
Less: Earnings (loss) from discontinued operations, net of taxes-6-29-5-2-1-2-0-2-1-10-34-
Earnings from continuing operations125171201243220306265791276-23-112522863406
Depreciation8348729409571,0401,1401,1871,2551,3951,8792,0271,7861,7131,712
Used vehicle sales, net----------0257450196
Amortization expense and other non-cash charges, net41404956477168123110111625118102
Currency translation adjustment loss--------------188
Non-cash lease expense---------869298199271
Amortization expense and other non-cash charges, net41404956477168123110111625118102
Share-Based Compensation Expense And Non-Operating Pension Costs----------41465784
Non-cash lease expense---------869298199271
Deferred income tax expense419087114105154125-500105-32-33126266115
Share-Based Compensation Expense And Non-Operating Pension Costs----------41465784
Collections on sales-type leases------------135126
Deferred income tax expense419087114105154125-500105-32-33126266115
Receivables1892-714214052174189-27524013426
Inventories86-112-16361-2079-
Prepaid expenses and other assets-25-1123160143966659212512185
Prepaid expenses and other assets-25-1123160143966659212512185
Accounts payable-25-233453-74946617-2729126-29-7
Accounts payable-25-233453-74946617-2729126-29-7
Accrued expenses and other liabilities-------------298-337
Accrued expenses and other liabilities-------------298-337
Collections on sales-type leases------------135126
Net cash provided by operating activities from continuing operations---------2,1412,1812,1752,3102,353
Receivables1892-714214052174189-27524013426
Inventories86-112-16361-2079-
Prepaid expenses and other assets-25-1123160143966659212512185
Prepaid expenses and other assets-25-1123160143966659212512185
Accounts payable-25-233453-74946617-2729126-29-7
Accounts payable-25-233453-74946617-2729126-29-7
Accrued expenses and other liabilities-------------298-337
Accrued expenses and other liabilities-------------298-337
Net cash provided by operating activities from continuing operations---------2,1412,1812,1752,3102,353
Purchases of property and revenue earning equipment1,0701,6992,1332,1402,2592,6681,9051,8603,0503,7351,1471,9412,6313,234
Sales of revenue earning equipment2212904054464934244143773804665397481,182764
Sales of operating property and equipment14107734752175213745363
Acquisitions, net of cash acquired2123625210--7167--325458250
Other investing activities-3---81------75-46
Net cash used in investing activities from continuing operations----------3,217-601-1,450-1,850-2,663
Net borrowings of commercial paper and other--------52-18-377260134-100
Debt proceeds3149667465578401,2836758731,9712,6362,0843001,2292,307
Debt repayments2494192843332817986699637981,3933,0556081,5521,481
Dividends on common stock5458616875839196112116119122123128
Common stock issued------------142
Common stock repurchased1236027-1066377831282956557337
Other financing activities-----------11-7-6-7
Net cash provided by (used in) financing activities from continuing operations---------1,084-1,507-204-861256
Effect of exchange rate changes on Cash and cash equivalents and restricted cash--------5-45-1-4-9
(Decrease) increase in Cash and cash equivalents and restricted cash from continuing operations----------78521-405-63
Net cash (used) provided by operating activities from discontinued operations-----------11--
(Decrease) increase in Cash and cash equivalents and restricted cash----------78522-405-63