£1.69
+ £0.01 (0.59%)
End-of-day quote: 05/08/2024
LSE:TTG

TT Electronics Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Rev. Revenue
£613.90M £617.00M £476.20M £431.80M £478.20M £429.50M £361.10M £332.70M £509.90M £524.30M £532.20M £476.90M £509.60M £555.50M £463.50M £584.30M £544.90M £539.40M £565.30M
GM % Gross Margin %
23.95% 21.96% 24.28% 22.95% 24.42% 25.77% 25.70% 25.22% 18.12% 15.26% 18.81% 19.31% 19.98% 17.84% 15.49% 17.71% 19.80% 20.30% 18.57%
OM Operating Margin
1.65% -0.21% 4.22% 1.62% 4.06% 3.89% 5.51% 5.44% 3.12% -0.97% 3.29% 5.05% 5.81% 5.20% -2.87% 4.31% 6.94% 6.43% 4.92%
EPS Earnings Per Share
£0.00 £0.19 £0.18 £0.15 £0.12 £0.19 £0.16 £0.11 £0.12 £0.09 £0.13 £0.14 £0.13 £0.13 £0.09 £-0.01 £0.09 £0.15 £0.12 £0.11
Div. Dividends
£0.07 £0.06 £0.06 £0.05 £0.02 £0.07 £0.06 £0.06 £0.06 £0.06 £0.05 £0.05 £0.04 £0.03 £0.00 £0.04 £0.10 £0.10 £0.10
PR % Payout Ratio %
36.84% 33.33% 40.00% 41.67% 10.53% 43.75% 54.55% 50.00% 66.67% 46.15% 35.71% 38.46% 30.77% 33.33% -0.00% 44.44% 66.67% 83.33% 90.91%
Sha. Shares
176.92m 176.01m 175.18m 174.43m 163.03m 162.21m 160.15m 162.28m 161.99m 158.91m 158.5m 156.71m 154.96m 154.87m 154.95m 154.95m 154.95m 154.8m 154.8m
OCF Operating Cash Flow
£62.90M £12.70M £14.30M £28.20M £35.90M £25.10M £29.30M £26.60M £25.30M £13.20M £30.30M £26.80M £49.40M £45.00M £66.80M £42.60M £35.60M £25.10M £49.60M
FCF Free Cash Flow
£23.76M £-13.10M £-1.30M £14.40M £9.70M £8.50M £4.70M £13.80M £5.10M £-22.50M £10.00M £8.10M £28.10M £32.80M £57.40M £20.70M £6.20M £4.50M £34.00M
FCFS Free Cash Flow Per Share
£0.22 £-0.01 £-0.02 £0.09 £0.11 £0.04 £0.09 £0.08 £0.04 £-0.14 £0.00 £0.01 £0.15 £0.17 £0.33 £0.06 £-0.03 £-0.03 £0.16