$0.67
$0.00 (0.00%)
End-of-day quote: 05/18/2024
ASX:TAH

Tabcorp Holdings 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
$2.47B $2.38B $5.69B $5.22B $5.48B $3.76B $2.23B $2.19B $2.16B $2.04B $2.00B $1.96B $2.95B $2.87B $4.21B $3.99B $3.88B $3.83B $3.82B $2.50B
GM % Gross Margin %
100.00% 100.00% 100.00% 100.00% 98.72% 98.01% 97.55% 98.03% 98.07% 97.98% 97.99% 98.05% 98.69% 98.69% 98.06% 97.96% 97.97% 98.02% 98.25% 98.52%
OM Operating Margin
4.51% -2.93% 11.77% 10.68% 12.95% 11.89% 10.52% 13.55% 15.91% 15.90% 16.60% 16.66% 19.07% 18.56% 21.33% 22.05% 21.78% 24.10% 23.91% 23.21%
EPS Earnings Per Share
$0.00 $0.04 $-0.04 $0.18 $0.13 $0.20 $0.17 $0.21 $0.22 $0.22 $0.20 $0.19 $0.48 $0.80 $0.78 $0.89 $0.99 $0.98 $1.04 $0.68 $0.78
Div. Dividends
$0.02 $0.13 $0.15 $0.11 $0.22 $0.21 $0.25 $0.24 $0.50 $0.16 $0.19 $0.24 $0.43 $0.55 $0.65 $0.94 $0.94 $0.89 $0.81 $0.71
PR % Payout Ratio %
50.00% -325.00% 83.33% 84.62% 110.00% 123.53% 119.05% 109.09% 227.27% 80.00% 100.00% 50.00% 53.75% 70.51% 73.03% 94.95% 95.92% 85.58% 119.12% 91.03%
Sha. Shares
2267.7m 2224.9m 2214.93m 2026.7m 2014.55m 2009.27m 831.42m 827.36m 824.96m 758.39m 741.82m 728.22m 687.79m 610.85m 601.72m 524.1m 524.53m 524.43m 523.57m 423.29m
OCF Operating Cash Flow
$119.30M $737.00M $720.00M $671.00M $714.80M $447.50M $222.50M $401.10M $399.70M $387.40M $264.90M $525.50M $658.10M $701.20M $672.50M $652.30M $608.70M $705.20M $661.40M $440.60M
FCF Free Cash Flow
$-77.60M $534.50M $537.00M $381.00M $436.40M $155.80M $27.00M $218.00M $268.10M $189.00M $60.70M $-105.50M $62.50M $293.10M $416.00M $430.30M $441.90M $507.10M $560.50M $339.40M
FCFS Free Cash Flow Per Share
$-0.03 $0.24 $0.25 $0.19 $0.22 $0.11 $0.03 $0.26 $0.34 $0.25 $0.08 $-0.15 $0.09 $0.48 $0.74 $0.82 $0.84 $0.89 $1.05 $0.71