£89.10
£0.00 (0.00%)
End-of-day quote: 06/01/2024
LSE:SPX

Spirax-Sarco Engineering Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2007 2006 2005 2004
Rev. Revenue
£1.68B £1.61B £1.34B £1.19B £1.24B £1.15B £998.70M £757.40M £667.20M £678.28M £689.39M £661.72M £649.99M £589.75M £417.32M £384.25M £349.10M £315.99M
GM % Gross Margin %
75.72% 75.54% 76.65% 75.22% 75.56% 75.40% 75.78% 76.10% 75.34% 74.37% 74.00% 72.71% 72.04% 72.91% 71.84% 72.95% 73.57% 73.01%
OM Operating Margin
18.31% 22.08% 23.62% 20.30% 20.42% 25.74% 21.74% 22.71% 21.75% 21.52% 21.05% 18.59% 20.20% 20.94% 17.15% 16.68% 16.02% 15.28%
EPS Earnings Per Share
£0.00 £3.12 £3.76 £3.38 £2.56 £2.65 £2.49 £2.20 £1.71 £1.42 £1.45 £1.43 £1.34 £1.33 £1.11 £0.69 £0.61 £0.53 £0.46
Div. Dividends
£1.60 £1.52 £1.36 £1.18 £1.10 £1.00 £0.88 £0.76 £0.69 £0.67 £0.61 £0.57 £0.53 £0.46 £0.32 £0.29 £0.26 £0.23
PR % Payout Ratio %
51.28% 40.43% 40.24% 46.09% 41.51% 40.16% 40.00% 44.44% 48.59% 46.21% 42.66% 42.54% 39.85% 41.44% 46.38% 47.54% 49.06% 50.00%
Sha. Shares
73.64m 73.6m 73.63m 73.71m 73.66m 73.62m 73.56m 73.44m 73.24m 72.88m 72.68m 72.51m 72.13m 71.66m 70.67m 70.22m 71.46m 69.83m
OCF Operating Cash Flow
£298.60M £241.10M £273.40M £259.20M £227.40M £212.60M £159.40M £157.90M £130.30M £113.66M £117.21M £107.54M £73.84M £81.49M £54.67M £28.93M £41.72M £44.30M
FCF Free Cash Flow
£159.97M £136.80M £290.60M £284.20M £165.00M £161.50M £190.10M £129.80M £99.48M £82.33M £96.76M £84.15M £31.02M £48.15M £39.75M £9.98M £30.88M £30.82M
FCFS Free Cash Flow Per Share
£2.63 £1.68 £2.84 £2.84 £2.24 £2.30 £1.65 £1.68 £1.31 £1.09 £1.20 £1.04 £0.35 £0.63 £0.53 £0.12 £0.39 £0.42