R86.17
+ R2.79 (3.35%)
End-of-day quote: 05/17/2024
JSE:MTN

MTN Group Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2004
Rev. Revenue
R221.30B R207.04B R181.65B R179.46B R151.46B R134.56B R132.87B R147.92B R131.86B R146.93B R137.27B R121.87B R121.88B R114.68B R111.95B R102.53B R73.15B R51.60B R0.00M
GM % Gross Margin %
64.53% 66.65% 67.11% 64.80% 63.99% 57.52% 57.81% 60.51% 72.10% 66.61% 62.41% 61.71% 61.31% 63.21% 61.32% 62.82% 62.49% 64.34% 0.00%
OM Operating Margin
25.74% 30.84% 28.43% 26.69% 23.96% 19.44% 18.27% 20.65% 32.36% 33.68% 29.01% 29.37% 30.96% 27.85% 28.37% 29.88% 31.56% 31.21% 0.00%
EPS Earnings Per Share
R0.00 R3.10 R11.25 R9.62 R7.41 R4.61 R3.32 R1.79 R-0.77 R11.71 R15.27 R13.78 R10.82 R10.62 R7.49 R7.45 R8.88 R6.69 R5.69 R2.24
Div. Dividends
R3.30 R3.30 R3.00 R0.00 R5.50 R6.25 R7.00 R7.00 R13.10 R11.10 R10.35 R9.79 R6.22 R5.00 R1.92 R1.81 R1.36 R0.90 R0.41
PR % Payout Ratio %
106.45% 29.33% 31.19% 0.00% 119.31% 188.25% 391.06% -909.09% 111.87% 72.69% 75.11% 90.48% 58.57% 66.76% 25.77% 20.38% 20.33% 15.82% 18.30%
Sha. Shares
1806.47m 1806.11m 1803.23m 1798.99m 1798.01m 1797.64m 1797.45m 1797.23m 1822.52m 1822.21m 1832.85m 1832.67m 1848.05m 1854.52m 1840.54m 1868.01m 1864.8m 1860.27m 1659.89m
OCF Operating Cash Flow
R64.06B R68.12B R67.29B R58.51B R36.29B R32.39B R33.39B R40.51B R36.63B R47.66B R43.21B R34.98B R36.95B R41.04B R39.66B R36.77B R27.53B R18.71B R0.00M
FCF Free Cash Flow
R10.56B R36.72B R42.87B R35.01B R12.87B R12.15B R11.82B R20.43B R35.99B R1.73B R-3139.00M R-5023.00M R13.77B R15.26B R11.94B R9.88B R13.07B R9.33B R0.00M
FCFS Free Cash Flow Per Share
R10.05 R12.71 R17.79 R15.75 R5.14 R2.33 R3.74 R2.89 R2.53 R13.55 R8.22 R6.08 R11.52 R13.28 R5.38 R4.50 R6.01 R5.08 R0.00