79.05€
-0.25€ (-0.32%)
End-of-day quote: 05/16/2024
ISE:KRZ

Kerry 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
8.02€B 8.77€B 7.35€B 6.95€B 7.24€B 6.61€B 6.41€B 6.13€B 6.10€B 5.76€B 5.84€B 5.85€B 5.30€B 4.96€B 4.52€B 4.79€B 4.79€B 4.65€B 4.43€B 4.13€B
GM % Gross Margin %
46.08% 44.55% 46.59% 46.83% 46.65% 44.63% 44.63% 46.08% 46.19% 44.50% 43.73% 43.39% 42.27% 43.91% 36.82% 34.69% 35.48% 44.01% 44.51% 43.63%
OM Operating Margin
10.70% 10.40% 10.63% 10.37% 11.51% 11.42% 10.94% 11.06% 11.28% 10.49% 9.67% 9.10% 8.89% 9.72% 8.73% 8.23% 8.11% 8.00% 8.35% 8.38%
EPS Earnings Per Share
0.00€ 4.30€ 4.41€ 3.80€ 3.45€ 3.93€ 3.53€ 3.41€ 3.22€ 3.02€ 2.79€ 2.58€ 2.37€ 2.05€ 1.85€ 1.57€ 1.01€ 1.36€ 1.27€ 1.26€ 0.87€
Div. Dividends
1.15€ 1.05€ 0.95€ 0.87€ 0.79€ 0.70€ 0.63€ 0.56€ 0.50€ 0.45€ 0.40€ 0.36€ 0.32€ 0.29€ 0.25€ 0.23€ 0.14€ 0.18€ 0.16€ 0.14€
PR % Payout Ratio %
26.74% 23.81% 25.00% 25.22% 20.10% 19.83% 18.48% 17.39% 16.56% 16.13% 15.50% 15.19% 15.61% 15.68% 15.92% 22.77% 10.29% 14.17% 12.70% 16.09%
Sha. Shares
175.79m 176.99m 176.85m 176.7m 176.51m 176.3m 176.18m 176.01m 175.88m 175.81m 175.72m 175.63m 175.53m 175.52m 175.16m 174.76m 174.69m 184.76m 187.2m 186.85m
OCF Operating Cash Flow
1.04€B 721.80€M 654.00€M 672.20€M 763.90€M 651.00€M 671.40€M 683.00€M 721.30€M 469.00€M 459.20€M 463.10€M 424.30€M 416.30€M 441.51€M 367.08€M 345.83€M 328.60€M 367.64€M 382.36€M
FCF Free Cash Flow
673.66€M 640.40€M 357.60€M 403.70€M 481.10€M 344.30€M 373.20€M 459.20€M 469.10€M 194.90€M 269.00€M 295.60€M 279.00€M 305.00€M 315.37€M 207.49€M 223.88€M 225.53€M 247.31€M 0.00€M
FCFS Free Cash Flow Per Share
4.26€ 2.82€ 2.01€ 2.22€ 2.54€ 1.96€ 2.13€ 2.63€ 2.69€ 1.13€ 1.55€ 1.71€ 1.43€ 1.51€ 1.80€ 1.19€ 1.15€ 1.21€ 1.97€ 2.05€