£44.76
£-0.07 (-0.16%)
End-of-day quote: 05/01/2024
LSE:RKT

Reckitt Benckiser 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
£14.61B £14.45B £13.23B £13.99B £12.85B £12.60B £11.45B £9.48B £8.87B £8.84B £9.27B £9.57B £9.49B £8.45B £7.75B £6.56B £5.27B £4.92B £4.18B £3.87B
GM % Gross Margin %
59.97% 57.85% 58.11% 60.28% 60.55% 60.61% 60.98% 61.19% 59.12% 57.67% 56.75% 57.89% 57.45% 60.58% 60.16% 59.27% 58.30% 56.66% 54.87% 54.79%
OM Operating Margin
22.72% 23.63% 20.63% 22.48% 26.19% 26.73% 27.19% 27.74% 26.66% 24.64% 23.04% 26.74% 26.22% 26.49% 24.56% 23.42% 22.17% 21.64% 20.10% 19.43%
EPS Earnings Per Share
£0.00 £3.23 £3.42 £2.89 £3.27 £3.49 £3.40 £3.17 £3.02 £2.59 £2.31 £2.70 £2.64 £2.47 £2.27 £1.95 £1.58 £1.23 £1.07 £0.88 £0.78
Div. Dividends
£1.93 £1.83 £1.75 £1.75 £1.75 £1.71 £1.64 £1.53 £1.39 £1.39 £1.37 £1.34 £1.25 £1.15 £1.00 £0.80 £0.55 £0.46 £0.39 £0.34
PR % Payout Ratio %
59.75% 53.51% 60.55% 53.52% 50.14% 50.29% 51.74% 50.66% 53.67% 60.17% 50.74% 50.76% 50.61% 50.66% 51.28% 50.63% 44.72% 42.99% 44.32% 43.59%
Sha. Shares
714.03m 715.76m 714.41m 712.74m 709.75m 707.5m 703.8m 700.08m 708.07m 718.58m 719.8m 719.22m 728.62m 725.85m 719.93m 708.75m 711.98m 716.03m 722.16m 724.54m
OCF Operating Cash Flow
£2.64B £2.40B £1.70B £3.52B £1.41B £2.52B £2.49B £2.42B £1.78B £2.10B £2.12B £1.89B £1.74B £1.54B £1.95B £1.33B £975.00M £1.02B £823.00M £733.00M
FCF Free Cash Flow
£2.40B £2.03B £1.26B £3.05B £2.15B £2.11B £2.18B £2.04B £1.63B £1.94B £1.92B £1.73B £1.58B £1.37B £1.79B £1.13B £860.00M £929.00M £758.00M £650.00M
FCFS Free Cash Flow Per Share
£3.05 £3.08 £4.02 £4.26 £1.37 £2.96 £3.05 £2.89 £2.25 £2.66 £2.64 £2.37 £2.13 £1.67 £2.51 £1.57 £1.18 £1.29 £1.02 £0.91