£1.87
£0.00 (0.00%)
End-of-day quote: 05/01/2024
LSE:BOOT

Henry Boot PLC 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
£359.40M £341.42M £230.60M £222.41M £379.69M £397.05M £408.49M £306.81M £176.19M £147.20M £153.79M £103.15M £114.58M £131.94M £116.52M £193.68M £124.78M £142.28M £101.19M
GM % Gross Margin %
21.36% 23.90% 55.55% 18.19% 21.33% 19.64% 21.23% 20.31% 30.27% 29.68% 24.59% 26.70% 31.24% 20.78% 25.32% 30.30% 33.95% 35.69% 36.41%
OM Operating Margin
10.36% 12.10% 0.10% 3.83% 12.40% 12.51% 14.72% 13.31% 18.52% 17.53% 13.32% 11.69% 18.29% 10.35% 2.97% 22.82% 23.26% 26.49% 25.47%
EPS Earnings Per Share
£0.00 £0.19 £0.25 £0.21 £0.09 £0.28 £0.29 £0.32 £0.21 £0.17 £0.16 £0.09 £0.07 £0.07 £0.09 £0.07 £0.12 £0.21 £0.19 £0.12
Div. Dividends
£0.07 £0.07 £0.06 £0.06 £0.05 £0.09 £0.08 £0.07 £0.06 £0.06 £0.05 £0.05 £0.04 £0.04 £0.03 £0.05 £0.05 £0.04 £0.04
PR % Payout Ratio %
36.84% 28.00% 28.57% 66.67% 17.86% 31.03% 25.00% 33.33% 35.29% 37.50% 55.56% 71.43% 57.14% 44.44% 42.86% 41.67% 23.81% 21.05% 33.33%
Sha. Shares
133.4m 133.24m 341.68m 132.71m 132.64m 132.61m 132.49m 131.56m 131.86m 131.64m 130.86m 130.55m 130.3m 129.23m 128.97m 128.62m 128.05m 128.04m 127.88m
OCF Operating Cash Flow
£-3.40M £-21.30M £-18711000.00M £13.81M £11.73M £10.79M £36.26M £20.00M £0.20M £8.71M £-1.59M £-7.95M £-1.08M £14.91M £10.59M £57.23M £4.01M £26.21M £-8.81M
FCF Free Cash Flow
£-11.90M £-22.27M £-44.62M £12.89M £10.62M £9.59M £42.43M £18.16M £-1.53M £7.01M £-2.39M £-9.72M £-4.68M £12.43M £9.81M £18.54M £-48.53M £-6.02M £-26.49M
FCFS Free Cash Flow Per Share
£-0.06 £-0.17 £-0.34 £0.09 £0.07 £0.07 £0.24 £0.13 £-0.01 £0.05 £-0.02 £-0.07 £-0.04 £0.09 £0.07 £0.14 £-0.42 £-0.05 £-0.21