R257.62
+ R5.23 (2.07%)
End-of-day quote: 05/24/2024
JSE:BVT

The Bidvest Group 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
R114.91B R99.93B R88.31B R76.54B R76.06B R76.96B R71.00B R68.24B R65.88B R161.61B R132.51B R133.53B R118.48B R109.79B R112.43B R110.48B R95.66B R77.28B R62.81B
GM % Gross Margin %
29.01% 29.98% 30.77% 30.63% 29.64% 28.91% 29.09% 29.16% 28.79% 23.12% 22.91% 20.44% 20.72% 20.96% 20.41% 19.63% 19.16% 20.02% 20.47%
OM Operating Margin
9.25% 9.22% 8.69% 7.09% 8.11% 8.06% 7.97% 8.00% 8.02% 5.16% 5.65% 5.02% 5.05% 4.99% 4.39% 4.86% 4.70% 4.77% 4.80%
EPS Earnings Per Share
R0.00 R18.85 R16.02 R12.92 R8.69 R13.48 R12.26 R11.03 R10.54 R18.72 R17.23 R15.61 R13.52 R11.54 R10.63 R9.25 R10.51 R9.65 R7.83 R6.75
Div. Dividends
R8.76 R7.44 R6.00 R2.82 R6.00 R5.56 R4.91 R7.14 R9.09 R8.34 R7.20 R6.22 R4.80 R4.32 R3.80 R4.95 R4.55 R3.76 R3.12
PR % Payout Ratio %
46.47% 46.44% 46.44% 32.45% 44.51% 45.35% 44.51% 67.74% 48.56% 48.40% 46.12% 46.01% 41.59% 40.64% 41.08% 47.10% 47.15% 48.02% 46.22%
Sha. Shares
339.89m 339.89m 339.89m 339.77m 338.38m 336.77m 335.09m 332.67m 325.05m 318.92m 313.56m 311.95m 309.02m 319.01m 305m 303.58m 305.88m 302.15m 302.41m
OCF Operating Cash Flow
R7.96B R8.30B R10.81B R6.53B R4.54B R7.13B R4.36B R6.38B R8.30B R7.16B R4.85B R6.59B R5.99B R4.86B R4.50B R3.67B R2.61B R3.37B R3.25B
FCF Free Cash Flow
R1.54B R2.92B R7.50B R3.70B R382.12M R2.76B R921.20M R2.27B R5.28B R4.03B R2.27B R4.31B R5.38B R975.65M R1.43B R-146.09M R-104.13M R1.08B R1.74B
FCFS Free Cash Flow Per Share
R12.48 R14.83 R24.18 R12.87 R6.58 R10.24 R0.87 R5.37 R14.38 R7.90 R1.93 R8.57 R5.78 R2.66 R4.15 R-1.22 R-0.74 R3.22 R5.51