£17.92
£0.00 (0.00%)
End-of-day quote: 05/11/2024
LSE:RAT

Rathbone Brothers 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
£676.20M £509.48M £466.24M £394.59M £381.17M £338.39M £308.61M £270.19M £238.57M £216.18M £183.91M £165.56M £154.42M £135.02M £125.68M £174.77M £173.70M £157.37M £130.34M £106.83M
GM % Gross Margin %
95.61% 94.61% 93.77% 93.79% 93.82% 93.23% 92.64% 93.36% 96.63% 95.78% 95.18% 93.78% 93.51% 94.25% 94.15% 95.10% 93.38% 57.00% 94.74% 96.00%
OM Operating Margin
26.47% 20.72% 23.37% 21.49% 23.24% 24.91% 25.27% 24.28% 26.14% 28.82% 25.83% 24.68% 28.12% 26.00% 26.64% 46.18% 45.03% 40.05% 37.88% 34.05%
EPS Earnings Per Share
£0.00 £1.31 £1.28 £1.67 £1.28 £1.29 £1.38 £1.38 £1.21 £1.16 £1.02 £0.87 £0.77 £0.78 £0.49 £0.52 £0.70 £0.86 £0.75 £0.62 £0.30
Div. Dividends
£0.87 £0.84 £0.81 £0.72 £0.70 £0.66 £0.61 £0.57 £0.55 £0.52 £0.49 £0.47 £0.46 £0.44 £0.42 £0.42 £0.41 £0.35 £0.30 £0.28
PR % Payout Ratio %
66.41% 65.63% 48.50% 56.25% 54.26% 47.83% 44.20% 47.11% 47.41% 50.98% 56.32% 61.04% 58.97% 89.80% 80.77% 60.00% 47.67% 46.67% 48.39% 93.33%
Sha. Shares
103.62m 58.51m 58.38m 53.73m 54m 53.46m 49.83m 49.4m 46.76m 46.49m 44.81m 44.37m 42.01m 41.95m 41.9m 41.52m 42.62m 42.18m 41.21m 40.84m
OCF Operating Cash Flow
£-89.40M £292.93M £-169.01M £32.02M £499.62M £112.39M £351.52M £567.34M £176.48M £417.73M £145.29M £-176.83M £177.35M £45.39M £-275.66M £163.24M £338.20M £170.56M £75.75M £83.99M
FCF Free Cash Flow
£-100.10M £279.80M £-226.85M £18.72M £481.67M £55.83M £335.40M £49.10M £153.60M £401.78M £125.87M £-188.52M £164.37M £14.97M £-278.98M £151.93M £328.42M £164.98M £73.15M £81.74M
FCFS Free Cash Flow Per Share
£-1.40 £4.77 £-3.23 £0.35 £8.99 £1.81 £6.64 £11.19 £3.23 £8.55 £2.76 £-4.32 £3.82 £0.35 £-6.47 £3.55 £7.72 £3.93 £1.78 £2.01