$35.23
$0.00 (0.00%)
End-of-day quote: 05/18/2024
ASX:ALD

Ampol Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
$37.75B $38.49B $20.88B $15.41B $22.31B $21.73B $16.29B $17.93B $19.93B $24.23B $24.68B $23.54B $22.11B $18.67B $17.74B $23.65B $19.08B $18.44B $15.70B $13.45B
GM % Gross Margin %
7.75% 7.31% 10.17% 7.83% 8.60% 9.78% 13.27% 38.48% 34.27% 27.91% 27.47% 27.11% 27.46% 31.14% 32.78% 23.48% 7.20% 5.77% 7.55% 39.08%
OM Operating Margin
2.64% 2.89% 4.11% -1.72% 2.60% 3.78% 5.84% 5.11% 3.98% 1.16% 3.50% 2.54% 1.60% 1.23% 2.34% 0.44% 3.67% 2.60% 3.90% 4.99%
EPS Earnings Per Share
$0.00 $3.10 $3.06 $1.52 $0.85 $1.36 $2.14 $2.38 $1.99 $2.33 $1.83 $1.23 $1.70 $0.98 $1.23 $1.61 $0.69 $1.64 $1.59 $1.53 $1.70
Div. Dividends
$2.15 $2.25 $0.93 $0.48 $0.83 $1.18 $1.21 $1.02 $1.17 $0.70 $0.34 $0.40 $0.45 $0.60 $0.25 $0.36 $0.80 $0.80 $0.46 $0.39
PR % Payout Ratio %
69.35% 73.53% 61.18% 56.47% 61.03% 55.14% 50.84% 51.26% 50.21% 38.25% 27.64% 23.53% 45.92% 48.78% 15.53% 52.17% 48.78% 50.31% 30.07% 22.94%
Sha. Shares
238.3m 238.3m 238.3m 249.71m 249.71m 261m 261m 261m 270m 270m 270m 270m 270m 270m 270m 270m 270m 270m 270m 270m
OCF Operating Cash Flow
$1.51B $909.20M $634.60M $267.60M $844.26M $596.50M $735.03M $928.20M $884.67M $661.57M $607.94M $399.74M $446.40M $428.46M $675.15M $380.21M $595.40M $465.56M $617.75M $456.51M
FCF Free Cash Flow
$818.13M $502.30M $327.70M $62.90M $574.11M $170.93M $448.41M $604.98M $430.67M $270.33M $90.19M $22.63M $49.86M $77.81M $414.20M $-11.61M $279.88M $108.27M $160.39M $240.67M
FCFS Free Cash Flow Per Share
$4.01 $2.11 $1.30 $0.16 $2.23 $0.93 $1.24 $2.19 $1.62 $0.91 $0.30 $0.03 $0.17 $0.28 $1.30 $-0.22 $0.82 $0.28 $0.41 $0.87