£27.94
+ £0.18 (0.64%)
End-of-day quote: 05/21/2024
LSE:CCC

Computacenter 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
£6.92B £6.47B £5.03B £5.44B £5.05B £4.35B £3.79B £3.25B £3.06B £3.11B £3.07B £2.91B £2.85B £2.68B £2.50B £2.56B £2.38B £2.27B £2.29B £2.41B
GM % Gross Margin %
15.08% 14.64% 17.24% 13.24% 13.12% 12.60% 13.08% 13.19% 13.19% 13.19% 13.13% 13.12% 13.37% 12.96% 13.97% 13.86% 13.69% 13.02% 12.64% 13.70%
OM Operating Margin
3.81% 4.00% 5.05% 3.56% 2.91% 2.63% 2.78% 2.64% 2.82% 2.71% 2.60% 2.63% 2.52% 2.46% 2.29% 1.78% 1.81% 1.48% 1.28% 2.75%
EPS Earnings Per Share
£0.00 £1.75 £1.70 £1.66 £1.26 £0.93 £0.76 £0.65 £0.54 £0.53 £0.47 £0.49 £0.45 £0.47 £0.41 £0.35 £0.26 £0.23 £0.17 £0.16 £0.38
Div. Dividends
£0.70 £0.68 £0.66 £0.51 £0.37 £0.30 £0.26 £0.22 £0.21 £0.19 £0.20 £0.20 £0.19 £0.17 £0.14 £0.10 £0.10 £0.09 £0.11 £0.11
PR % Payout Ratio %
40.00% 40.00% 39.76% 40.48% 39.78% 39.47% 40.00% 40.74% 39.62% 40.43% 40.82% 44.44% 40.43% 41.46% 40.00% 38.46% 43.48% 52.94% 68.75% 28.95%
Sha. Shares
112.77m 113.08m 113.22m 113.15m 112.63m 112.39m 120.91m 120.63m 120.46m 120.13m 119.84m 118.73m 118.41m 117.92m 117.03m 116.31m 120.59m 124.82m 124.04m 123.74m
OCF Operating Cash Flow
£410.60M £242.10M £224.30M £236.80M £202.01M £115.22M £106.11M £68.23M £94.34M £94.42M £62.91M £83.37M £102.02M £122.64M £172.95M £84.56M £32.47M £13.58M £47.60M £48.02M
FCF Free Cash Flow
£234.40M £218.40M £205.50M £213.66M £171.88M £69.78M £75.67M £45.65M £81.04M £76.78M £53.49M £52.56M £77.84M £109.79M £163.44M £74.49M £-23.92M £-7.31M £37.26M £36.40M
FCFS Free Cash Flow Per Share
£3.33 £1.83 £1.72 £1.85 £1.45 £0.56 £0.56 £0.38 £0.60 £0.64 £0.30 £0.43 £0.57 £0.83 £1.30 £0.50 £0.15 £0.03 £0.30 £0.28