₪66.33
₪0.00 (0.00%)
End-of-day quote: 05/17/2024
TASE:STRS

Strauss Group Annual Report

Year Year 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
Rev. Revenue
₪6.11B ₪6.07B ₪5.87B ₪5.70B ₪5.60B ₪5.48B ₪5.28B ₪5.18B ₪5.42B ₪5.61B ₪5.70B ₪7.70B ₪6.86B ₪6.37B ₪6.25B ₪5.96B ₪5.16B
GM % Gross Margin %
30.02% 39.87% 40.66% 41.23% 37.47% 35.93% 36.46% 34.09% 35.46% 36.56% 34.64% 32.12% 34.75% 37.27% 36.46% 37.49% 37.72%
OM Operating Margin
3.08% 10.73% 11.10% 10.69% 10.03% 8.69% 9.45% 7.95% 7.11% 9.22% 8.56% 6.70% 8.37% 8.82% 7.73% 8.33% 7.77%
EPS Earnings Per Share
₪0.00 ₪4.04 ₪1.49 ₪5.50 ₪4.75 ₪4.73 ₪4.26 ₪3.70 ₪3.12 ₪2.73 ₪3.47 ₪3.09 ₪2.24 ₪2.24 ₪2.42 ₪2.54 ₪2.70 ₪2.62 ₪3.33
Div. Dividends
₪0.77 ₪0.00 ₪0.00 ₪0.00 ₪3.13 ₪1.40 ₪1.40 ₪0.00 ₪0.00 ₪1.47 ₪1.32 ₪1.88 ₪1.89 ₪3.79 ₪1.90 ₪0.00 ₪1.43
PR % Payout Ratio %
51.68% 0 0 0 73.47% 37.84% 44.87% 0 0.00% 47.57% 58.93% 83.93% 78.10% 149.21% 70.37% 0.00% 42.94%
Sha. Shares
116.25m 116.25m 116.11m 115.8m 115.23m 114.72m 107.37m 107.32m 107.08m 106.63m 106.33m 104.8m 104.24m 105.24m 105.43m 104.97m 104.82m
OCF Operating Cash Flow
₪307.00M ₪854.00M ₪610.00M ₪672.00M ₪502.00M ₪343.00M ₪614.00M ₪349.00M ₪374.00M ₪480.00M ₪481.00M ₪304.00M ₪497.00M ₪793.00M ₪228.00M ₪508.31M ₪394.96M
FCF Free Cash Flow
₪44.00M ₪638.00M ₪426.00M ₪491.00M ₪333.00M ₪202.00M ₪482.00M ₪167.00M ₪-3.00M ₪144.00M ₪365.00M ₪34.00M ₪187.00M ₪552.00M ₪-40.00M ₪217.61M ₪221.62M
FCFS Free Cash Flow Per Share
₪-0.63 ₪5.05 ₪3.20 ₪3.83 ₪2.50 ₪1.42 ₪4.21 ₪1.28 ₪-0.36 ₪0.98 ₪1.41 ₪-0.12 ₪1.42 ₪4.87 ₪-0.68 ₪1.56 ₪1.51