£2.65
+ £0.03 (1.15%)
End-of-day quote: 05/16/2024
LSE:GFRD

Galliford Try Holdings 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
£1.39B £1.24B £1.12B £1.12B £1.40B £2.93B £2.66B £2.49B £2.35B £1.77B £1.47B £1.50B £1.28B £1.22B £1.46B £1.83B £1.41B £851.50M £718.49M £687.50M
GM % Gross Margin %
7.28% 6.93% 6.68% 3.18% 3.69% 11.26% 9.58% 10.89% 11.38% 12.55% 12.19% 12.19% 10.47% 9.60% 7.96% 8.85% 9.50% 10.35% 9.30% 8.48%
OM Operating Margin
1.36% 1.28% 0.71% -2.87% -1.60% 5.99% 3.87% 4.79% 5.25% 5.84% 4.99% 4.49% 2.79% 2.31% 2.20% 3.82% 4.83% 4.52% 4.23% 3.56%
EPS Earnings Per Share
£0.00 £0.16 £0.15 £0.09 £-0.48 £1.16 £1.58 £1.45 £1.31 £1.14 £0.93 £0.70 £0.60 £0.32 £0.25 £0.49 £1.45 £1.19 £0.95 £0.80 £0.68
Div. Dividends
£0.11 £0.08 £0.05 £0.00 £0.58 £0.77 £0.96 £0.82 £0.68 £0.53 £0.37 £0.30 £0.16 £0.13 £0.15 £0.30 £0.29 £0.23 £0.18 £0.16
PR % Payout Ratio %
68.75% 53.33% 55.56% -0.00% 50.00% 48.73% 66.21% 62.60% 59.65% 56.99% 52.86% 50.00% 50.00% 52.00% 30.61% 20.69% 24.37% 24.21% 22.50% 23.53%
Sha. Shares
101.16m 107.51m 109.33m 110.83m 110.75m 110.65m 82.52m 82.33m 81.81m 81.6m 80.99m 80.81m 81.16m 81.54m 37.57m 37.3m 37.65m 27.48m 22.68m 22.48m
OCF Operating Cash Flow
£35.50M £22.80M £63.60M £-152.10M £-59.60M £83.60M £98.20M £77.40M £39.60M £52.00M £-5.80M £16.20M £-22.80M £-26.10M £44.90M £123.50M £-7.90M £3.30M £3.84M £11.49M
FCF Free Cash Flow
£33.30M £17.80M £61.50M £-153.50M £-63.30M £25.80M £93.10M £69.60M £32.90M £46.50M £-9.00M £11.70M £-26.10M £-27.70M £41.50M £120.20M £-9.90M £1.70M £2.24M £9.67M
FCFS Free Cash Flow Per Share
£0.32 £0.16 £0.56 £-1.39 £-0.56 £0.81 £1.13 £0.85 £0.40 £0.55 £-0.14 £0.10 £-0.36 £-0.38 £0.80 £3.23 £-0.32 £0.07 £0.10 £0.44