£41.55
£-0.10 (-0.24%)
End-of-day quote: 05/07/2024
LSE:RSW

Renishaw 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
£688.57M £671.08M £565.56M £510.22M £573.96M £611.51M £536.81M £427.22M £494.72M £355.50M £346.88M £331.89M £288.75M £181.61M £171.25M £201.16M £180.88M £175.84M £154.80M £127.70M
GM % Gross Margin %
51.16% 53.28% 52.48% 48.70% 49.50% 53.41% 53.17% 51.18% 55.31% 49.77% 52.52% 53.30% 55.52% 48.33% 40.98% 46.93% 45.88% 48.30% 47.73% 45.82%
OM Operating Margin
19.96% 22.85% 20.61% 12.89% 17.05% 24.31% 22.13% 19.44% 28.80% 19.41% 22.40% 25.72% 28.28% 14.59% 4.45% 19.81% 17.25% 20.60% 19.13% 14.18%
EPS Earnings Per Share
£0.00 £1.55 £1.86 £1.39 £0.51 £1.20 £1.71 £1.32 £0.95 £1.68 £0.82 £0.91 £0.96 £0.88 £0.37 £0.09 £0.46 £0.36 £0.42 £0.34 £0.22
Div. Dividends
£0.76 £0.73 £0.66 £0.00 £0.60 £0.60 £0.52 £0.48 £0.47 £0.41 £0.40 £0.39 £0.35 £0.18 £0.07 £0.25 £0.23 £0.22 £0.19 £0.18
PR % Payout Ratio %
49.03% 39.25% 47.48% 0.00% 50.00% 35.09% 39.39% 50.53% 27.98% 50.00% 43.96% 40.63% 39.77% 48.65% 77.78% 54.35% 63.89% 52.38% 55.88% 81.82%
Sha. Shares
72.72m 72.77m 72.78m 72.78m 72.78m 72.79m 72.79m 72.79m 72.79m 72.79m 72.79m 72.79m 72.79m 72.79m 72.79m 72.79m 72.79m 72.79m 72.79m 72.79m
OCF Operating Cash Flow
£84.30M £121.47M £135.29M £104.66M £106.49M £132.11M £115.26M £55.18M £132.26M £59.75M £79.58M £67.09M £58.81M £24.53M £31.45M £46.92M £22.36M £34.06M £26.43M £19.06M
FCF Free Cash Flow
£7.39M £82.31M £124.42M £48.89M £34.16M £97.26M £72.62M £2.18M £69.32M £20.70M £51.60M £34.02M £42.32M £21.66M £20.44M £41.79M £12.32M £21.24M £11.06M £4.16M
FCFS Free Cash Flow Per Share
£-0.01 £1.12 £1.53 £0.62 £0.40 £1.11 £0.77 £-0.16 £0.96 £0.12 £0.55 £0.36 £0.43 £0.20 £0.09 £0.48 £0.11 £0.19 £0.11 £0.06