£6.77
+ £0.03 (0.44%)
End-of-day quote: 05/15/2024
LSE:BEZ

Beazley Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
£5.10B £3.47B £3.29B £2.91B £2.64B £2.15B £2.04B £1.89B £1.79B £1.77B £1.67B £1.59B £1.45B £1.47B £1.42B £667.40M £692.20M £565.00M £410.80M £325.20M
GM % Gross Margin %
39.88% 16.10% 19.56% 7.35% 20.43% 16.85% 21.92% 29.88% 29.36% 28.80% 31.11% 25.15% 14.54% 23.88% 23.65% 12.54% 29.70% 28.41% 10.30% 22.08%
OM Operating Margin
32.74% 7.34% 10.96% -0.74% 11.16% 5.20% 9.45% 16.80% 17.32% 16.49% 19.87% 15.38% 5.82% 15.77% 14.51% 4.35% 21.29% 20.30% 1.51% 12.82%
EPS Earnings Per Share
£0.00 £1.22 £0.21 £0.50 £-0.09 £0.45 £0.12 £0.26 £0.43 £0.45 £0.39 £0.54 £0.41 £0.12 £0.35 £0.28 £0.26 £0.50 £0.32 £0.05 £0.18
Div. Dividends
£0.18 £0.16 £0.18 £0.00 £0.16 £0.15 £0.15 £0.26 £0.41 £0.32 £0.41 £0.13 £0.13 £0.12 £0.11 £0.10 £0.12 £0.09 £0.07 £0.02
PR % Payout Ratio %
14.75% 76.19% 36.00% -0.00% 35.56% 125.00% 57.69% 60.47% 91.11% 82.05% 75.93% 31.71% 108.33% 34.29% 39.29% 38.46% 24.00% 28.13% 140.00% 11.11%
Sha. Shares
662.7m 665.4m 606.1m 605.2m 524.91m 523.1m 522m 517.2m 511.7m 505.3m 502.2m 500.9m 505.9m 504.6m 519.6m 337m 355.4m 355.8m 358.7m 360.62m
OCF Operating Cash Flow
£393.20M £1.10B £1.17B £476.80M £460.20M £278.70M £258.90M £193.90M £195.50M £227.10M £253.50M £281.10M £226.70M £284.10M £272.40M £540.30M £296.80M £178.90M £328.70M £180.90M
FCF Free Cash Flow
£388.90M £1.07B £1.15B £463.90M £453.90M £276.10M £252.60M £191.00M £193.00M £226.70M £252.00M £278.50M £225.70M £282.10M £267.40M £536.80M £295.00M £173.20M £326.20M £0.00M
FCFS Free Cash Flow Per Share
£0.51 £1.75 £1.89 £0.77 £0.84 £0.51 £0.48 £0.36 £0.37 £0.44 £0.49 £0.54 £0.42 £0.53 £0.53 £1.56 £0.82 £0.47 £0.88 £0.72