89.50€
-0.75€ (-0.83%)
End-of-day quote: 05/21/2024
ISE:KRX

Kingspan Group 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
8.09€B 8.34€B 6.50€B 4.58€B 4.66€B 4.37€B 3.67€B 3.11€B 2.77€B 1.89€B 1.78€B 1.63€B 1.55€B 1.19€B 1.13€B 1.67€B 1.86€B 1.46€B 1.24€B 958.08€M
GM % Gross Margin %
28.92% 26.57% 28.57% 30.28% 29.08% 27.78% 28.70% 30.25% 29.10% 27.29% 25.89% 6.61% 27.30% 27.97% 27.45% 27.95% 30.20% 31.25% 30.32% 29.47%
OM Operating Margin
10.39% 9.70% 11.31% 10.71% 10.25% 9.75% 9.96% 10.66% 9.03% 7.65% 6.68% 6.42% 5.91% 5.69% 6.16% 7.53% 12.70% 13.25% 11.61% 10.72%
EPS Earnings Per Share
0.00€ 3.68€ 3.42€ 3.16€ 2.15€ 2.13€ 1.92€ 1.64€ 1.47€ 1.09€ 0.65€ 0.54€ 0.45€ 0.36€ 0.29€ 0.28€ 0.73€ 1.09€ 0.88€ 0.65€ 0.42€
Div. Dividends
0.53€ 0.49€ 0.46€ 0.21€ 0.13€ 0.42€ 0.37€ 0.34€ 0.25€ 0.16€ 0.14€ 0.12€ 0.11€ 0.10€ 0.00€ 0.08€ 0.25€ 0.19€ 0.13€ 0.10€
PR % Payout Ratio %
14.40% 14.33% 14.56% 9.77% 6.10% 21.88% 22.56% 23.13% 22.94% 24.62% 25.93% 26.67% 30.56% 34.48% 0.00% 10.96% 22.94% 21.59% 20.00% 23.81%
Sha. Shares
181.61m 181.61m 181.34m 181.53m 180.88m 180.2m 179.32m 178.08m 177.02m 171.66m 170.04m 168.46m 166.94m 166.52m 166.27m 166.03m 170.35m 168.85m 167.63m 166.05m
OCF Operating Cash Flow
1.16€B 692.00€M 329.20€M 638.50€M 520.40€M 438.30€M 283.60€M 309.60€M 336.20€M 139.60€M 114.30€M 143.66€M 114.58€M 67.03€M 199.76€M 207.61€M 200.05€M 171.44€M 148.60€M 87.69€M
FCF Free Cash Flow
811.05€M 422.80€M 160.40€M 506.70€M 337.10€M 294.10€M 198.50€M 206.60€M 256.90€M 94.20€M 85.87€M 106.60€M 76.90€M 44.64€M 151.17€M 107.57€M 59.75€M 113.74€M 106.45€M 32.01€M
FCFS Free Cash Flow Per Share
5.09€ 2.33€ 0.88€ 2.80€ 1.99€ 1.64€ 1.08€ 1.11€ 1.46€ 0.55€ 0.43€ 0.65€ 0.51€ 0.27€ 0.91€ 0.64€ 0.33€ 0.67€ 0.61€ 0.19€