£17.57
+ £0.33 (1.88%)
End-of-day quote: 05/01/2024
LSE:JMAT

Johnson Matthey 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
£14.93B £16.03B £15.67B £14.58B £10.75B £10.27B £12.03B £10.71B £10.06B £11.16B £10.73B £12.02B £9.98B £7.84B £7.85B £7.50B £6.15B £4.57B £4.63B
GM % Gross Margin %
6.71% 6.47% 6.50% 6.87% 9.46% 8.84% 7.16% 7.16% 8.13% 7.16% 6.57% 6.26% 6.49% 6.56% 6.67% 6.56% 7.13% 8.15% 8.21%
OM Operating Margin
3.19% 3.21% 3.25% 3.70% 5.18% 4.92% 4.10% 3.98% 4.50% 3.94% 3.66% 3.63% 3.55% 3.38% 3.69% 3.92% 4.12% 4.67% 4.68%
EPS Earnings Per Share
£0.00 £1.79 £1.79 £2.13 £1.82 £1.99 £2.29 £2.08 £2.09 £1.79 £1.91 £1.80 £1.58 £1.70 £1.28 £0.92 £0.96 £0.96 £0.89 £0.81 £0.64
Div. Dividends
£0.77 £0.77 £0.70 £0.56 £0.86 £0.80 £0.75 £0.72 £0.72 £0.66 £0.60 £0.61 £0.51 £0.43 £0.41 £0.41 £0.37 £0.33 £0.31
PR % Payout Ratio %
43.02% 36.15% 38.46% 28.14% 37.55% 38.46% 35.89% 40.22% 37.70% 36.67% 37.97% 35.88% 39.84% 46.74% 42.71% 42.71% 41.57% 40.74% 48.44%
Sha. Shares
182.88m 184.66m 192.64m 192.52m 192.09m 191.97m 191.79m 191.74m 191.71m 191.58m 191.38m 191.27m 191.74m 191.97m 190.21m 190.53m 192.58m 195.82m 194.78m
OCF Operating Cash Flow
£291.00M £605.00M £769.00M £598.00M £334.00M £386.00M £523.00M £866.50M £125.80M £476.90M £396.60M £464.40M £122.90M £275.70M £501.40M £229.60M £159.10M £212.30M £183.80M
FCF Free Cash Flow
£-25.00M £152.00M £388.00M £52.00M £-13.00M £136.00M £263.40M £613.00M £-119.80M £263.20M £161.90M £299.40M £-14.00M £164.60M £320.70M £97.00M £44.00M £102.50M £97.60M
FCFS Free Cash Flow Per Share
£-0.14 £0.79 £2.01 £0.81 £0.17 £0.89 £1.37 £3.06 £-0.45 £1.38 £1.10 £1.64 £-0.07 £0.76 £1.54 £0.45 £0.18 £0.48 £0.45