Free Cash Flow per Share: A measure of financial performance calculated as operating cash flow minus capital expenditures, expressed on a per share basis. Calculated as: Free Cash Flow / Weighted Average Shares Outstanding (Diluted)
Darden Restaurants, Inc. (DRI) had Free Cash Flow per Share of $1.56 for the most recently reported fiscal quarter, ending 2025-08-31.
| Income Statement Financials | |
$3.04B  | 
								|
$257.80M  | 
								|
$2.42B  | 
								|
$623.40M  | 
								|
$2.71B  | 
								|
$339.20M  | 
								|
$-45.40M  | 
								|
$293.80M  | 
								|
$293.80M  | 
								|
$257.90M  | 
								|
$257.90M  | 
								|
$257.80M  | 
								|
$257.90M  | 
								|
$339.20M  | 
								|
$474.30M  | 
								|
116.70M  | 
								|
117.60M  | 
								|
$2.21  | 
								|
$2.19  | 
								|
| Balance Sheet Financials | |
$932.80M  | 
								|
$4.83B  | 
								|
$11.83B  | 
								|
$12.76B  | 
								|
$2.35B  | 
								|
$2.14B  | 
								|
$8.19B  | 
								|
$10.53B  | 
								|
$2.23B  | 
								|
$-779.00M  | 
								|
$2.23B  | 
								|
116.40M  | 
								|
| Cash Flow Statement Financials | |
$342.50M  | 
								|
$-159.30M  | 
								|
$-212.20M  | 
								|
$254.50M  | 
								|
$225.50M  | 
								|
$-29.00M  | 
								|
$25.00M  | 
								|
$-175.10M  | 
								|
--  | 
								|
| Fundamental Metrics & Ratios | |
0.40  | 
								|
--  | 
								|
--  | 
								|
0.49  | 
								|
1.02  | 
								|
20.47%  | 
								|
11.14%  | 
								|
11.14%  | 
								|
--  | 
								|
9.65%  | 
								|
8.47%  | 
								|
$183.20M  | 
								|
--  | 
								|
--  | 
								|
--  | 
								|
0.24  | 
								|
7.82  | 
								|
32.36  | 
								|
2.78  | 
								|
11.59%  | 
								|
-33.11%  | 
								|
2.02%  | 
								|
5.91%  | 
								|
$19.12  | 
								|
| 
										 Free Cash Flow per Share  | 
									$1.56  | 
								
$2.91  | 
								|