£13.06
+ £0.17 (1.32%)
End-of-day quote: 05/02/2024
LSE:PSN

Persimmon Plc 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
£2.77B £3.82B £3.61B £3.33B £3.65B £3.74B £3.60B £3.14B £2.90B £2.57B £2.09B £1.72B £1.54B £1.57B £1.42B £1.76B £3.01B £3.14B £2.29B £2.13B
GM % Gross Margin %
28.67% 22.73% 30.02% 26.87% 30.98% 31.57% 29.79% 27.78% 25.41% 22.22% 20.20% 17.54% 14.53% 12.41% 8.70% 13.74% 24.42% 23.48% 26.44% 27.30%
OM Operating Margin
22.54% 18.93% 26.56% 23.59% 28.23% 28.98% 26.41% 24.43% 21.38% 18.05% 15.47% 12.04% 9.55% 7.60% 3.47% 9.08% 20.66% 19.64% 23.09% 23.37%
EPS Earnings Per Share
£0.00 £0.82 £2.45 £2.48 £2.20 £2.69 £2.84 £2.47 £2.00 £1.69 £1.24 £0.83 £0.57 £0.37 £0.25 £0.02 £0.35 £1.38 £1.37 £1.18 £1.09
Div. Dividends
£0.60 £0.60 £2.35 £1.10 £2.35 £2.35 £2.35 £1.10 £1.10 £0.70 £0.75 £0.75 £0.10 £0.08 £0.00 £0.05 £0.51 £0.47 £0.31 £0.28
PR % Payout Ratio %
73.17% 24.49% 94.76% 50.00% 87.36% 82.75% 95.14% 55.00% 65.09% 56.45% 90.36% 131.58% 27.03% 32.00% 0.00% 14.29% 36.96% 34.31% 26.27% 25.69%
Sha. Shares
319.24m 319.23m 319.1m 318.97m 318.68m 317.15m 308.81m 308.4m 306.6m 306.32m 304.46m 302.82m 302.19m 301.17m 300.4m 300.08m 299.92m 299.24m 295.07m 288.89m
OCF Operating Cash Flow
£-129.80M £402.30M £784.80M £765.50M £620.00M £654.30M £824.00M £698.20M £494.40M £396.50M £241.60M £181.80M £121.90M £225.50M £353.10M £243.80M £72.40M £589.10M £177.10M £161.10M
FCF Free Cash Flow
£-139.23M £371.80M £763.90M £746.60M £592.50M £638.80M £806.00M £683.50M £483.30M £388.70M £235.00M £179.00M £117.90M £225.60M £351.90M £236.90M £61.80M £579.50M £167.30M £148.20M
FCFS Free Cash Flow Per Share
£-0.52 £1.16 £2.39 £2.34 £1.86 £2.04 £2.61 £2.22 £1.58 £1.27 £0.77 £0.59 £0.39 £0.74 £1.17 £0.79 £0.21 £1.96 £0.57 £0.52