£1.44
£0.00 (0.00%)
End-of-day quote: 05/18/2024
AIM:IOM

iomart Group Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2007 2006
Rev. Revenue
£115.64M £103.02M £111.88M £112.58M £103.71M £97.80M £89.57M £76.28M £65.80M £55.62M £43.06M £33.48M £25.25M £18.33M £11.80M £21.09M £18.03M
GM % Gross Margin %
55.67% 59.51% 60.46% 60.83% 64.36% 64.43% 63.98% 67.68% 67.36% 68.01% 67.18% 66.86% 61.59% 57.28% 51.53% 77.78% 75.82%
OM Operating Margin
10.79% 14.12% 13.32% 15.58% 18.46% 18.04% 18.24% 18.13% 19.34% 20.62% 21.27% 18.40% 11.28% 2.06% -13.98% 2.68% 0.78%
EPS Earnings Per Share
£0.00 £0.11 £0.12 £0.14 £0.16 £0.19 £0.18 £0.17 £0.14 £0.13 £0.11 £0.08 £0.06 £0.03 £0.02 £-0.02 £0.03 £0.05
Div. Dividends
£0.05 £0.06 £0.07 £0.07 £0.07 £0.07 £0.06 £0.03 £0.03 £0.02 £0.01 £0.01 £0.01 £0.00 £0.00 £0.00 £0.03
PR % Payout Ratio %
45.45% 50.00% 50.00% 43.75% 36.84% 38.89% 35.29% 21.43% 23.08% 18.18% 12.50% 16.67% 33.33% 0.00% -0.00% 0.00% 60.00%
Sha. Shares
110.42m 109.92m 109.53m 109.02m 108.37m 107.85m 107.56m 106.82m 106.72m 106.68m 104.6m 100.07m 98.86m 97.78m 96.94m 99.45m 78.79m
OCF Operating Cash Flow
£33.89M £35.46M £40.06M £36.62M £31.43M £35.60M £33.91M £26.60M £23.99M £21.71M £13.59M £9.00M £7.04M £3.72M £0.78M £0.23M £0.59M
FCF Free Cash Flow
£23.04M £24.52M £23.00M £19.46M £12.80M £16.70M £23.72M £11.89M £12.27M £9.51M £9.50M £6.04M £3.62M £1.38M £-0.74M £-0.23M £0.12M
FCFS Free Cash Flow Per Share
£0.21 £0.22 £0.21 £0.18 £0.12 £0.16 £0.19 £0.11 £0.11 £0.09 £0.09 £0.06 £0.03 £0.01 £-0.01 £-0.01 £-0.00