£3.53
+ £0.06 (1.70%)
End-of-day quote: 04/26/2024
LSE:SDR

Schroders Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
£2.99B £2.97B £3.05B £2.61B £2.61B £2.68B £2.57B £2.22B £2.10B £1.97B £1.84B £1.47B £1.52B £1.50B £1.01B £935.80M £1.19B £967.20M £808.00M £631.30M
GM % Gross Margin %
79.84% 82.14% 81.74% 82.65% 81.41% 79.26% 80.48% 80.56% 78.92% 78.21% 76.56% 77.58% 76.03% 76.49% 75.14% 77.55% 80.64% 82.53% 83.79% 86.08%
OM Operating Margin
22.43% 24.71% 27.95% 25.16% 26.10% 27.31% 30.01% 28.03% 28.09% 27.53% 25.80% 23.37% 25.78% 24.89% 11.90% 10.50% 29.17% 26.46% 23.85% 21.35%
EPS Earnings Per Share
£0.00 £0.32 £0.37 £0.41 £0.34 £0.34 £0.36 £0.38 £0.31 £0.29 £0.27 £0.25 £0.17 £0.19 £0.19 £0.10 £0.13 £0.18 £0.13 £0.58 £0.29
Div. Dividends
£0.22 £0.22 £0.21 £0.19 £0.19 £0.19 £0.19 £0.16 £0.15 £0.13 £0.10 £0.07 £0.07 £0.06 £0.05 £0.05 £0.05 £0.04 £0.04 £0.20
PR % Payout Ratio %
68.75% 59.46% 51.22% 55.88% 55.88% 52.78% 50.00% 51.61% 51.72% 48.15% 40.00% 41.18% 36.84% 31.58% 50.00% 38.46% 27.78% 30.77% 6.90% 68.97%
Sha. Shares
1576.27m 1574.87m 1581.41m 276.33m 276.13m 276.1m 275.5m 275.14m 273.83m 271.51m 268.8m 272.52m 271.35m 273.17m 278.76m 272.58m 281.39m 281.94m 289.34m 289.85m
OCF Operating Cash Flow
£-238.10M £972.80M £1.23B £832.50M £1.00B £513.90M £585.10M £563.70M £47.90M £1.32B £210.00M £489.20M £426.80M £1.07B £370.90M £133.50M £505.40M £209.20M £92.20M £24.10M
FCF Free Cash Flow
£492.05M £868.50M £1.14B £739.70M £859.10M £309.80M £412.50M £498.50M £9.10M £1.29B £178.30M £476.40M £414.10M £282.40M £364.80M £117.30M £487.40M £197.50M £84.80M £20.70M
FCFS Free Cash Flow Per Share
£-0.20 £0.55 £0.72 £2.68 £3.11 £1.12 £1.50 £1.81 £0.03 £4.78 £0.68 £1.76 £1.52 £3.84 £1.31 £0.42 £1.66 £0.69 £0.29 £0.06