R3780.00
+ R70.74 (1.91%)
End-of-day quote: 05/09/2024
JSE:NPN

Naspers 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
R6.78B R6.29B R5.93B R4.00B R3.29B R2.99B R6.10B R5.93B R6.57B R62.73B R49.87B R39.49B R33.09B R28.00B R26.69B R20.52B R17.22B R15.71B R13.52B
GM % Gross Margin %
27.96% 25.93% 31.11% 32.72% 36.07% 36.88% 41.39% 42.80% 41.79% 43.54% 44.50% 47.16% 46.22% 48.43% 49.30% 47.47% 46.78% 44.27% 42.85%
OM Operating Margin
-9.27% -12.52% -18.50% -16.05% -17.05% -21.21% -4.95% 1.87% 3.32% 5.63% 9.62% 12.11% 15.21% 15.73% 14.87% 18.66% 20.26% 19.44% 18.35%
EPS Earnings Per Share
R0.00 R13.03 R5.07 R6.37 R7.77 R6.37 R7.65 R5.81 R3.99 R2.92 R2.21 R2.01 R2.14 R1.49 R1.57 R1.12 R1.02 R1.24 R1.27 R0.98 R1.03
Div. Dividends
R0.41 R0.42 R0.41 R0.34 R0.50 R0.48 R0.45 R0.35 R0.38 R0.40 R0.38 R0.40 R0.39 R0.31 R0.27 R0.23 R0.22 R0.16 R0.10
PR % Payout Ratio %
8.09% 6.59% 5.28% 5.34% 6.54% 8.26% 11.28% 11.99% 17.19% 19.90% 17.76% 26.85% 24.84% 27.68% 26.47% 18.55% 17.32% 16.33% 9.71%
Sha. Shares
195.36m 214.49m 417.37m 427.98m 432.2m 432.13m 431.54m 431.08m 412m 397.62m 394.27m 384.71m 375.44m 374.31m 372.45m 370.56m 344.63m 290.55m 282.59m
OCF Operating Cash Flow
R-177.00M R-702.00M R73.00M R-196.00M R410.00M R-158.00M R-40.00M R78.00M R159.00M R3.27B R10.04B R5.39B R5.27B R5.62B R3.91B R4.41B R3.52B R3.17B R2.37B
FCF Free Cash Flow
R-445.00M R-960.00M R-62.00M R-305.00M R258.00M R-296.00M R-213.00M R-150.00M R-143.83M R-126.90M R346.52M R396.75M R523.07M R4.03B R2.84B R3.30B R2.66B R2.36B R1.79B
FCFS Free Cash Flow Per Share
R-2.30 R-3.38 R-0.16 R-0.71 R0.58 R-0.73 R-0.52 R-0.40 R-0.36 R-3.41 R18.74 R8.64 R9.21 R10.29 R7.07 R8.88 R8.68 R7.93 R6.23