£94.26
+ £0.34 (0.36%)
End-of-day quote: 05/17/2024
LSE:NXT

NEXT 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
£5.03B £4.63B £3.53B £4.27B £4.17B £4.09B £4.10B £4.18B £4.00B £3.74B £3.56B £3.44B £3.30B £3.41B £3.27B £3.33B £3.28B £3.11B £2.86B
GM % Gross Margin %
43.83% 42.90% 35.07% 39.43% 38.52% 34.76% 33.84% 34.78% 33.59% 33.16% 31.76% 30.38% 29.27% 29.26% 27.77% 28.51% 27.82% 27.86% 27.95%
OM Operating Margin
18.74% 19.06% 9.91% 20.06% 20.15% 18.58% 20.17% 20.87% 20.06% 19.42% 18.56% 17.39% 17.13% 15.51% 14.69% 16.03% 15.45% 15.10% 15.40%
EPS Earnings Per Share
£0.00 £5.71 £5.24 £2.22 £4.69 £4.33 £4.16 £4.32 £4.35 £4.10 £3.56 £2.90 £2.48 £2.07 £1.77 £1.56 £1.67 £1.44 £1.25 £1.17
Div. Dividends
£2.06 £3.97 £0.00 £1.74 £1.65 £1.58 £3.38 £3.80 £1.50 £1.29 £1.05 £0.90 £0.78 £0.66 £0.55 £0.55 £0.49 £0.44 £0.41
PR % Payout Ratio %
36.08% 75.76% 0.00% 37.10% 38.11% 37.98% 78.24% 87.36% 36.59% 36.24% 36.21% 36.29% 37.68% 37.29% 35.26% 32.93% 34.03% 35.20% 35.04%
Sha. Shares
122.79m 127.47m 128m 127.8m 133.14m 140.06m 142.64m 146.32m 147.86m 148.84m 154.7m 163.1m 174.83m 187.53m 193.02m 196.41m 220.61m 237.91m 252.15m
OCF Operating Cash Flow
£798.80M £971.40M £824.80M £927.20M £868.80M £615.20M £699.50M £608.30M £743.20M £614.80M £659.00M £525.90M £452.00M £571.50M £448.80M £518.00M £500.80M £398.20M £389.90M
FCF Free Cash Flow
£593.70M £787.40M £661.80M £790.80M £531.10M £511.00M £538.70M £457.30M £633.00M £511.90M £577.40M £399.80M £331.40M £472.90M £328.20M £338.70M £360.90M £221.00M £245.90M
FCFS Free Cash Flow Per Share
£4.45 £5.53 £5.17 £6.12 £5.50 £3.54 £3.77 £3.11 £4.25 £3.39 £3.57 £2.32 £1.70 £2.45 £1.69 £1.61 £1.59 £0.90 £0.97