£39.60
£0.00 (0.00%)
End-of-day quote: 04/26/2024
LSE:CKN

Clarkson 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
£639.40M £603.80M £443.30M £358.20M £363.00M £337.60M £324.00M £306.10M £301.80M £237.90M £198.00M £176.20M £194.60M £202.60M £176.70M £250.30M £173.40M £116.60M £115.60M
GM % Gross Margin %
95.25% 96.39% 96.28% 96.29% 96.06% 96.18% 97.01% 97.09% 96.59% 94.41% 96.87% 96.42% 98.25% 96.05% 95.30% 97.00% 98.10% 100.00% 100.00%
OM Operating Margin
16.12% 16.73% 16.02% 12.93% 13.75% 12.91% 14.17% 12.25% 13.22% 13.87% 12.07% 10.39% 14.75% 16.49% 12.85% 21.09% 15.86% 16.38% 22.75%
EPS Earnings Per Share
£0.00 £2.74 £2.49 £1.64 £1.06 £1.19 £1.05 £1.16 £1.04 £1.21 £1.31 £0.96 £0.76 £1.20 £1.25 £0.89 £1.21 £1.24 £0.80 £1.09
Div. Dividends
£0.98 £0.93 £0.84 £0.79 £0.25 £0.75 £0.73 £0.65 £0.62 £0.60 £0.56 £0.51 £0.50 £0.47 £0.43 £0.42 £0.40 £0.36 £0.32
PR % Payout Ratio %
35.77% 37.35% 51.22% 74.53% 21.01% 71.43% 62.93% 62.50% 51.24% 45.80% 58.33% 67.11% 41.67% 37.60% 48.31% 34.71% 32.26% 45.00% 29.36%
Sha. Shares
30.7m 30.62m 30.47m 30.37m 30.37m 30.21m 30.17m 30.07m 29.95m 20.19m 18.47m 18.64m 18.7m 18.78m 18.61m 18.65m 18.21m 17.62m 16.85m
OCF Operating Cash Flow
£155.30M £178.90M £125.10M £65.90M £67.80M £22.70M £48.00M £45.60M £24.70M £37.80M £22.80M £-4.40M £7.20M £42.30M £-18.00M £57.90M £52.40M £8.40M £30.40M
FCF Free Cash Flow
£81.32M £170.00M £109.00M £62.40M £58.90M £16.60M £42.70M £42.50M £29.00M £36.10M £21.20M £4.00M £6.10M £41.00M £-19.50M £54.40M £49.10M £6.20M £9.70M
FCFS Free Cash Flow Per Share
£4.74 £5.55 £3.90 £1.87 £1.95 £0.55 £1.37 £1.42 £0.01 £1.93 £1.14 £-0.34 £0.26 £2.19 £-1.04 £2.93 £2.75 £0.36 £0.59