£1.42
+ £0.01 (0.70%)
End-of-day quote: 05/08/2024
LSE:KIE

Kier Group 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
£3.38B £3.14B £3.26B £3.42B £3.95B £4.24B £4.13B £3.99B £3.28B £2.91B £1.94B £2.03B £2.12B £2.06B £2.11B £2.33B £2.07B £1.78B £1.57B £1.44B
GM % Gross Margin %
9.06% 8.40% 8.71% 5.91% 7.38% 10.12% 9.70% 9.66% 8.64% 8.73% 9.97% 10.45% 9.96% 10.17% 8.85% 9.02% 9.24% 8.94% 8.85% 8.93%
OM Operating Margin
2.19% 0.61% 1.39% -5.50% -5.38% 2.67% 2.62% 3.06% 2.06% 2.68% 1.11% 2.93% 2.81% 2.81% 2.37% 3.55% 3.63% 3.14% 3.06% 2.73%
EPS Earnings Per Share
£0.00 £0.19 £0.16 £0.25 £0.15 £0.58 £1.15 £1.06 £1.07 £0.96 £1.07 £1.35 £1.54 £1.46 £1.15 £0.98 £1.69 £1.53 £1.19 £0.99 £0.81
Div. Dividends
£0.00 £0.00 £0.00 £0.00 £0.05 £0.69 £0.68 £0.65 £0.55 £0.72 £0.68 £0.66 £0.64 £0.58 £0.55 £0.55 £0.50 £0.26 £0.22 £0.19
PR % Payout Ratio %
0.00% 0.00% 0.00% 0.00% 8.62% 60.00% 64.15% 60.75% 57.29% 67.29% 50.37% 42.86% 43.84% 50.43% 56.12% 32.54% 32.68% 21.85% 22.22% 23.46%
Sha. Shares
446.3m 446.08m 445.61m 161.88m 161.81m 97.21m 97.07m 95.54m 94.48m 54.53m 39.39m 38.21m 37.64m 36.95m 36.7m 36.37m 35.94m 35.53m 35.43m 35.26m
OCF Operating Cash Flow
£183.50M £74.00M £48.00M £-71.70M £-82.70M £130.30M £75.70M £166.40M £121.40M £-5.90M £0.70M £17.30M £53.30M £115.00M £5.30M £48.60M £105.30M £91.90M £77.30M £-15.20M
FCF Free Cash Flow
£132.30M £23.90M £16.90M £-121.80M £-156.70M £71.50M £67.80M £152.30M £101.60M £-54.10M £-21.40M £-23.90M £24.90M £104.00M £-10.00M £21.10M £85.60M £68.70M £57.40M £-36.70M
FCFS Free Cash Flow Per Share
£0.41 £0.13 £0.18 £-0.50 £-0.87 £0.69 £0.16 £1.20 £0.94 £-0.93 £-0.68 £-0.68 £0.63 £2.80 £-0.27 £0.58 £2.39 £1.94 £1.62 £-1.05