£12.75
+ £0.20 (1.57%)
End-of-day quote: 05/09/2024
LSE:VTY

Vistry Group PLC Annual Report

Year Year 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
£2.73B £2.41B £1.81B £1.13B £1.06B £1.03B £1.05B £946.50M £809.37M £556.00M £425.53M £364.78M £298.64M £281.51M £282.33M £555.70M £597.29M £521.19M £559.46M
GM % Gross Margin %
18.68% 18.49% 14.23% 21.47% 21.75% 17.96% 19.82% 24.54% 24.37% 23.44% 22.77% 19.80% 17.89% 16.04% 22.43% 31.14% 31.82% 32.46% 35.24%
OM Operating Margin
13.42% 12.37% 6.78% 16.28% 16.42% 12.43% 15.19% 17.29% 17.01% 14.87% 13.32% 10.14% 7.33% 6.27% 7.95% 22.54% 23.65% 24.00% 27.08%
EPS Earnings Per Share
£0.00 £0.85 £1.37 £1.25 £0.53 £1.11 £0.95 £0.63 £0.84 £0.89 £0.73 £0.42 £0.29 £0.16 £0.10 £0.04 £0.09 £0.68 £0.72 £0.64 £0.81
Div. Dividends
£0.55 £0.60 £0.20 £0.62 £0.53 £0.44 £0.42 £0.37 £0.33 £0.13 £0.08 £0.05 £0.03 £0.00 £0.05 £0.33 £0.28 £0.23 £0.19
PR % Payout Ratio %
40.15% 48.00% 37.74% 55.86% 55.79% 69.84% 50.00% 41.57% 45.21% 30.95% 27.59% 31.25% 30.00% 0.00% 55.56% 48.53% 38.89% 35.94% 23.46%
Sha. Shares
345.08m 221.87m 221.35m 153.6m 143.66m 143.51m 143.51m 143.54m 143.17m 143.32m 143.02m 142.87m 142.38m 136.79m 129.32m 129.14m 128.87m 127.61m 126.43m
OCF Operating Cash Flow
£52.87M £266.12M £181.67M £216.39M £130.68M £156.14M £61.81M £76.90M £55.62M £-22.15M £-23.01M £4.99M £-53.99M £160.35M £-29.52M £-34.80M £187.37M £-21.70M £54.60M
FCF Free Cash Flow
£51.29M £265.48M £179.04M £215.83M £128.80M £154.77M £60.02M £74.48M £53.54M £-24.95M £-24.22M £3.92M £-54.39M £160.31M £-29.66M £-35.68M £185.88M £-24.91M £48.37M
FCFS Free Cash Flow Per Share
£0.22 £1.19 £0.81 £1.40 £0.89 £1.08 £0.42 £0.52 £0.37 £-0.17 £-0.17 £0.03 £-0.38 £1.21 £-0.23 £-0.28 £1.46 £-0.20 £0.39