£18.77
£0.00 (0.00%)
End-of-day quote: 05/17/2024
LSE:IMI

IMI Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2007 2006 2005 2004
Rev. Revenue
£2.20B £2.05B £1.87B £1.83B £1.87B £1.91B £1.75B £1.66B £1.57B £1.69B £1.74B £1.69B £2.13B £1.91B £1.79B £1.60B £1.51B £1.34B £1.24B
GM % Gross Margin %
46.19% 45.72% 46.16% 44.72% 43.47% 42.88% 44.03% 44.25% 44.69% 45.65% 45.57% 43.88% 42.77% 42.52% 41.23% 40.01% 39.93% 40.31% 40.73%
OM Operating Margin
14.58% 16.09% 15.77% 14.50% 13.77% 13.03% 13.71% 14.29% 15.93% 17.79% 17.94% 17.14% 17.74% 16.42% 13.24% 12.65% 10.86% 11.92% 10.61%
EPS Earnings Per Share
£0.00 £1.16 £1.06 £0.92 £0.80 £0.73 £0.73 £0.65 £0.59 £0.62 £0.77 £0.72 £0.95 £0.92 £0.73 £0.51 £0.45 £0.38 £0.37 £0.26
Div. Dividends
£0.29 £0.26 £0.24 £0.23 £0.41 £0.41 £0.39 £0.39 £0.38 £0.38 £0.35 £0.37 £0.34 £0.30 £0.24 £0.23 £0.21 £0.20 £0.19
PR % Payout Ratio %
25.00% 24.53% 26.09% 28.75% 56.16% 56.16% 60.00% 66.10% 61.29% 49.35% 48.61% 38.95% 36.96% 41.10% 47.06% 51.11% 55.26% 54.05% 73.08%
Sha. Shares
259.6m 258.39m 258.85m 271.08m 271m 270.6m 270.9m 271m 271m 270m 269.76m 279.48m 277.64m 277.03m 279.39m 280.96m 294.82m 298.81m 308.26m
OCF Operating Cash Flow
£363.20M £283.70M £269.20M £329.00M £314.80M £207.00M £214.10M £251.60M £242.90M £117.60M £319.30M £211.40M £216.60M £257.40M £236.00M £120.00M £130.70M £108.20M £169.70M
FCF Free Cash Flow
£246.58M £212.40M £211.70M £278.30M £249.00M £148.60M £144.30M £180.70M £172.30M £46.80M £275.00M £172.30M £164.50M £212.00M £198.70M £70.10M £86.60M £66.30M £118.90M
FCFS Free Cash Flow Per Share
£1.09 £0.82 £0.79 £1.03 £0.92 £0.55 £0.53 £0.67 £0.64 £0.17 £0.96 £0.59 £0.57 £0.74 £0.69 £0.23 £0.29 £0.20 £0.37