£10.66
£0.00 (0.00%)
End-of-day quote: 04/27/2024
LSE:KLR

Keller 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
£2.97B £2.94B £2.22B £2.06B £2.30B £2.22B £2.07B £1.78B £1.56B £1.60B £1.44B £1.32B £1.15B £1.07B £1.04B £1.20B £955.10M £857.70M £731.00M £595.86M
GM % Gross Margin %
6.03% 10.27% 11.06% 11.46% 10.97% 12.42% 13.46% 9.39% 10.77% 44.57% 45.42% 44.61% 42.68% 42.08% 40.88% 40.85% 39.93% 41.84% 41.67% 42.85%
OM Operating Margin
5.16% 3.07% 4.00% 4.53% 4.36% 3.97% 4.83% 4.81% 6.39% 5.98% 5.52% 4.01% 2.59% 4.33% 7.35% 9.84% 11.19% 10.35% 7.17% 5.58%
EPS Earnings Per Share
£0.00 £1.54 £1.01 £0.86 £0.96 £0.81 £0.79 £1.02 £0.76 £0.85 £0.74 £0.72 £0.45 £0.24 £0.43 £0.77 £1.09 £0.96 £0.78 £0.42 £0.21
Div. Dividends
£0.41 £0.38 £0.36 £0.36 £0.40 £0.36 £0.34 £0.29 £0.27 £0.25 £0.24 £0.23 £0.23 £0.23 £0.22 £0.21 £0.18 £0.16 £0.12 £0.11
PR % Payout Ratio %
26.62% 37.62% 41.86% 37.50% 49.38% 45.57% 33.33% 38.16% 31.76% 33.78% 33.33% 51.11% 95.83% 53.49% 28.57% 19.27% 18.75% 20.51% 28.57% 52.38%
Sha. Shares
72.8m 72.77m 72.32m 72.21m 72.07m 72.06m 71.96m 72m 71.8m 71.3m 70.9m 64.3m 64.28m 64.27m 64.24m 66.32m 66.3m 65.78m 65.52m 65.36m
OCF Operating Cash Flow
£197.00M £54.80M £155.70M £210.50M £163.90M £124.80M £107.80M £103.00M £63.90M £126.90M £105.10M £93.10M £45.30M £55.60M £88.40M £105.80M £79.90M £61.40M £49.60M £21.87M
FCF Free Cash Flow
£92.49M £-26.80M £71.70M £134.20M £94.90M £39.70M £23.60M £24.80M £-10.30M £63.30M £60.30M £59.40M £7.60M £27.40M £52.90M £37.60M £31.80M £34.00M £33.90M £7.98M
FCFS Free Cash Flow Per Share
£1.41 £-0.37 £0.99 £1.91 £1.40 £0.54 £0.32 £-0.53 £-0.15 £0.88 £0.87 £0.91 £0.09 £0.40 £0.76 £0.56 £0.48 £0.45 £0.52 £0.12