R227.42
+ R1.17 (0.51%)
End-of-day quote: 05/06/2024
JSE:APN

Aspen Pharmacare Holdings Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Rev. Revenue
R40.71B R38.61B R37.77B R38.65B R38.87B R38.31B R41.21B R35.60B R36.10B R29.52B R19.31B R15.26B R12.38B R9.62B R8.44B R4.68B R4.03B R3.45B R2.81B
GM % Gross Margin %
46.35% 47.29% 47.08% 49.99% 50.63% 51.37% 48.24% 50.28% 47.92% 46.49% 47.81% 47.70% 45.33% 46.54% 45.93% 46.37% 48.23% 48.13% 49.41%
OM Operating Margin
21.93% 22.64% 22.00% 24.26% 23.67% 24.14% 23.65% 28.65% 23.82% 25.51% 26.48% 27.07% 25.43% 27.52% 26.05% 25.72% 27.01% 26.37% 16.33%
EPS Earnings Per Share
R0.00 R14.99 R16.28 R13.10 R14.65 R14.14 R16.05 R14.63 R12.63 R12.19 R10.64 R8.36 R6.37 R5.33 R4.52 R3.89 R2.23 R2.03 R1.76 R1.38
Div. Dividends
R3.42 R3.26 R2.62 R0.00 R3.15 R2.87 R2.48 R2.48 R2.16 R1.57 R1.57 R1.57 R1.05 R0.00 R0.29 R0.69 R0.69 R0.61 R0.47
PR % Payout Ratio %
22.82% 20.02% 20.00% 0.00% 22.28% 17.88% 16.95% 19.64% 17.72% 14.76% 18.78% 24.65% 19.70% 0.00% 7.46% 30.94% 33.99% 34.66% 34.06%
Sha. Shares
444.95m 444.95m 455.16m 455.52m 455.8m 456.04m 456.02m 455.85m 456.35m 455.94m 455.24m 454.19m 433.88m 431.4m 360.7m 358.57m 356.74m 353.53m 345.34m
OCF Operating Cash Flow
R5.52B R5.37B R6.83B R8.26B R6.00B R7.02B R6.49B R3.20B R4.80B R3.84B R3.99B R2.91B R2.45B R2.03B R1.29B R652.40M R708.56M R401.77M R652.88M
FCF Free Cash Flow
R2.34B R2.68B R3.39B R5.57B R3.56B R4.89B R3.90B R600.00M R5.62B R4.39B R-321.70M R290.00M R1.79B R1.40B R665.40M R273.10M R420.87M R232.96M R571.80M
FCFS Free Cash Flow Per Share
R5.27 R6.63 R8.26 R12.74 R5.50 R-2.52 R10.27 R1.31 R6.14 R6.30 R-0.73 R0.67 R4.17 R1.84 R-7.26 R0.45 R0.80 R0.29 R1.39