£1.99
£0.00 (0.00%)
End-of-day quote: 05/10/2024
LSE:ASHM

Ashmore Group Plc Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007
Rev. Revenue
£191.00M £250.90M £287.40M £323.50M £303.00M £276.50M £252.60M £210.40M £265.20M £289.50M £350.80M £330.50M £341.20M £279.20M £242.10M £236.80M £157.10M
GM % Gross Margin %
65.34% 70.75% 72.06% 74.47% 72.21% 73.67% 73.16% 64.31% 74.66% 78.41% 77.48% 79.55% 79.04% 78.94% 85.13% 79.86% 79.25%
OM Operating Margin
50.79% 60.74% 63.71% 66.24% 61.78% 63.69% 60.13% 48.81% 62.63% 66.56% 67.82% 69.50% 72.33% 72.46% 78.15% 75.17% 75.75%
EPS Earnings Per Share
£0.00 £0.13 £0.19 £0.23 £0.26 £0.25 £0.21 £0.24 £0.18 £0.19 £0.18 £0.29 £0.26 £0.27 £0.23 £0.16 £0.20 £0.13
Div. Dividends
£0.17 £0.17 £0.17 £0.17 £0.17 £0.17 £0.17 £0.17 £0.17 £0.16 £0.16 £0.15 £0.15 £0.13 £0.12 £0.12 £0.09
PR % Payout Ratio %
130.77% 89.47% 73.91% 65.38% 68.00% 80.95% 70.83% 94.44% 89.47% 88.89% 55.17% 57.69% 55.56% 56.52% 75.00% 60.00% 69.23%
Sha. Shares
661.91m 657.23m 660.39m 656.26m 672.39m 670.69m 668.67m 666.2m 669.48m 669.41m 672.17m 674.7m 683.36m 667.55m 669.26m 674.91m 670.2m
OCF Operating Cash Flow
£104.50M £157.40M £149.20M £202.80M £189.10M £159.30M £123.30M £98.50M £145.70M £184.80M £220.80M £180.60M £191.30M £198.00M £103.20M £149.00M £93.10M
FCF Free Cash Flow
£104.10M £156.90M £148.50M £201.80M £188.30M £159.10M £122.90M £97.90M £145.00M £161.70M £218.90M £178.00M £190.80M £197.50M £101.10M £145.50M £93.00M
FCFS Free Cash Flow Per Share
£0.16 £0.24 £0.23 £0.30 £0.28 £0.24 £0.18 £0.15 £0.21 £0.27 £0.32 £0.26 £0.28 £0.29 £0.15 £0.22 £0.14