£0.28
£0.00 (0.00%)
End-of-day quote: 05/07/2024
AIM:BAR

Brand Architekts Group Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2008 2007 2006 2004
Rev. Revenue
£20.09M £14.30M £15.88M £16.25M £19.68M £21.09M £74.31M £54.46M £49.45M £50.03M £48.59M £57.88M £57.45M £44.82M £44.72M £49.00M £48.76M
GM % Gross Margin %
39.75% 33.51% 39.97% 35.18% 35.56% 39.74% 18.72% 14.80% 11.81% 10.34% 8.18% 10.55% 10.88% 14.10% 14.10% 12.69% 16.49%
OM Operating Margin
-11.48% -15.99% -0.40% -0.88% 9.42% 12.67% 4.74% 3.14% 1.84% 1.26% -1.38% 2.91% 2.47% 3.50% 2.98% 1.10% 4.06%
EPS Earnings Per Share
£0.00 £-0.04 £-0.12 £-0.52 £-0.02 £0.25 £0.22 £0.16 £0.13 £0.07 £0.04 £-0.04 £0.11 £0.10 £0.09 £0.05 £0.01 £0.10
Div. Dividends
£0.00 £0.00 £0.00 £0.04 £0.07 £0.06 £0.05 £0.03 £0.02 £0.00 £0.02 £0.06 £0.06 £0.06 £0.00 £0.00 £0.05
PR % Payout Ratio %
0 0 0 -200.00% 28.00% 27.27% 31.25% 23.08% 28.57% 0.00% -50.00% 54.55% 60.00% 66.67% 0 0.00% 50.00%
Sha. Shares
27.94m 27.94m 17.12m 17.15m 17.14m 17.14m 16.87m 11.31m 11.31m 11.31m 11.31m 11.31m 11.31m 11.26m 11.26m 11.26m 11.26m
OCF Operating Cash Flow
£-3.22M £-5.78M £1.35M £-7.85M £6.37M £-0.28M £3.85M £2.54M £2.35M £1.25M £-0.06M £2.59M £2.00M £2.10M £3.05M £2.34M £1.71M
FCF Free Cash Flow
£-3.24M £-5.79M £1.29M £-7.88M £5.28M £-1.91M £2.48M £1.36M £0.81M £0.37M £-0.85M £1.27M £0.49M £0.66M £2.27M £1.53M £1.01M
FCFS Free Cash Flow Per Share
£-0.12 £-0.33 £0.06 £-0.47 £0.27 £-0.34 £0.15 £0.12 £-0.03 £0.03 £-0.08 £0.11 £0.04 £0.05 £0.19 £0.13 £0.09