£11.28
£0.00 (0.00%)
End-of-day quote: 05/17/2024
LSE:XPP

XP Power Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2006
Rev. Revenue
£316.40M £290.40M £240.30M £233.30M £199.90M £195.10M £166.80M £129.80M £109.70M £101.10M £101.10M £93.90M £103.60M £91.80M £67.30M £78.70M
GM % Gross Margin %
41.50% 41.53% 45.07% 47.19% 45.07% 47.31% 46.52% 47.77% 49.77% 49.55% 49.06% 47.82% 49.13% 48.04% 45.02% 37.10%
OM Operating Margin
7.74% -8.30% 12.36% 15.77% 13.36% 20.14% 19.48% 21.57% 23.58% 24.23% 23.05% 22.36% 24.42% 21.46% 14.26% 13.09%
EPS Earnings Per Share
£0.00 £0.82 £1.60 £1.76 £1.98 £1.46 £1.73 £1.47 £1.15 £1.04 £1.01 £0.95 £0.81 £1.06 £0.83 £0.39 £0.37
Div. Dividends
£0.18 £0.94 £0.94 £0.74 £0.55 £0.85 £0.78 £0.71 £0.66 £0.61 £0.55 £0.50 £0.45 £0.33 £0.22 £0.18
PR % Payout Ratio %
21.95% 58.75% 53.41% 37.37% 37.67% 49.13% 53.06% 61.74% 63.46% 60.40% 57.89% 61.73% 42.45% 39.76% 56.41% 48.65%
Sha. Shares
23.63m 19.54m 19.54m 19.49m 19.2m 19.16m 19.11m 19.05m 19.01m 19m 19.01m 19m 18.98m 18.89m 18.79m 20.31m
OCF Operating Cash Flow
£57.50M £-2.00M £36.40M £45.60M £46.20M £26.70M £29.70M £27.90M £21.00M £21.80M £20.20M £23.60M £16.20M £10.30M £16.30M £5.80M
FCF Free Cash Flow
£9.70M £-21.40M £12.50M £31.30M £26.20M £12.60M £17.80M £21.10M £15.60M £16.00M £17.70M £18.90M £10.30M £8.20M £14.60M £4.60M
FCFS Free Cash Flow Per Share
£0.86 £-1.09 £0.74 £1.59 £1.56 £0.61 £1.03 £1.11 £0.82 £0.84 £0.90 £1.00 £0.45 £0.35 £0.70 £0.20