£32.70
£0.00 (0.00%)
End-of-day quote: 06/01/2024
LSE:SXS

Spectris 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
£1.45B £1.33B £1.16B £1.34B £1.63B £1.60B £1.53B £1.35B £1.19B £1.17B £1.20B £1.23B £1.11B £901.90M £787.30M £787.10M £668.40M £684.50M £655.90M £614.10M
GM % Gross Margin %
57.83% 56.56% 58.08% 55.11% 56.02% 56.56% 56.86% 57.18% 57.40% 57.63% 58.04% 57.91% 58.64% 58.41% 56.56% 57.50% 57.54% 57.82% 57.52% 57.25%
OM Operating Margin
13.96% 13.61% 13.65% -1.07% 5.50% 11.72% 11.94% 12.81% 12.44% 14.66% 15.51% 16.32% 16.18% 14.13% 8.66% 14.45% 15.38% 12.04% 9.83% 8.29%
EPS Earnings Per Share
£0.00 £2.00 £1.60 £1.41 £1.12 £1.68 £1.65 £1.45 £1.28 £1.14 £1.24 £1.33 £1.36 £1.22 £0.77 £0.44 £0.69 £0.57 £0.43 £0.29 £0.21
Div. Dividends
£0.79 £0.75 £0.72 £0.68 £0.65 £0.61 £0.57 £0.52 £0.50 £0.47 £0.43 £0.39 £0.34 £0.28 £0.24 £0.23 £0.21 £0.18 £0.16 £0.15
PR % Payout Ratio %
39.50% 46.88% 51.06% 60.71% 38.69% 36.97% 39.31% 40.63% 43.86% 37.90% 32.33% 28.68% 27.87% 36.36% 54.55% 33.33% 36.84% 41.86% 55.17% 71.43%
Sha. Shares
101.62m 104.49m 110.77m 116.21m 115.96m 115.55m 119.25m 119.16m 119.1m 118.95m 118.66m 117.39m 116.37m 115.93m 115.51m 115.31m 116.08m 124.93m 123.47m 121.09m
OCF Operating Cash Flow
£195.20M £120.00M £159.40M £226.00M £240.80M £178.10M £190.60M £215.90M £153.40M £155.20M £152.30M £187.20M £169.30M £154.40M £101.50M £99.10M £91.20M £80.50M £74.80M £56.60M
FCF Free Cash Flow
£179.79M £75.10M £124.10M £182.90M £154.20M £81.10M £116.30M £187.20M £127.40M £127.80M £120.60M £158.40M £140.10M £135.50M £87.30M £77.20M £78.50M £70.00M £62.60M £40.10M
FCFS Free Cash Flow Per Share
£1.65 £0.70 £1.09 £1.58 £1.33 £0.69 £0.98 £1.57 £1.07 £1.08 £1.02 £1.35 £1.21 £1.17 £0.76 £0.67 £0.65 £0.56 £0.51 £0.31