Raubex Group financials at a glance

Year Year 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2007 2025
Rev. Revenue
R2.14B R4.16B R4.58B R4.55B R5.03B R5.64B R6.33B R7.25B R7.93B R9.01B R8.54B R8.52B R8.73B R8.85B R11.58B R15.31B R0.00M R1.19B R0.00M
GM % Gross Margin %
24.33% 24.36% 23.44% 19.81% 15.40% 14.06% 13.61% 13.63% 14.19% 13.80% 13.18% 10.02% 12.49% 11.42% 13.75% 13.78% 0.00% 19.01% 0.00%
OM Operating Margin
19.96% 19.62% 18.82% 14.87% 10.24% 9.03% 8.22% 8.36% 8.48% 8.48% 7.26% 4.02% 6.35% 4.39% 7.75% 7.97% 0.00% 17.26% 0.00%
EPS Earnings Per Share
R1.78 R2.88 R3.22 R2.40 R1.76 R1.56 R1.84 R2.06 R2.32 R2.69 R2.29 R0.57 R1.62 R0.82 R2.95 R0.00
Div. Dividends
R0.60 R1.00 R1.10 R1.07 R0.60 R0.65 R0.65 R0.71 R0.78 R0.90 R0.78 R0.34 R0.22 R0.53 R1.01 R1.29 R1.29 R0.00 R0.00
PR % Payout Ratio %
33.71% 34.72% 34.16% 44.58% 34.09% 41.67% 35.33% 34.47% 33.62% 33.46% 34.06% 59.65% 13.58% 64.63% 34.24% 0 0 0 0
Sha. Shares
162.13m 172.53m 182.62m 184.54m 184.54m 184.54m 185.9m 187.33m 189.25m 180.39m 180.39m 181.68m 180.95m 180.84m 180.84m 180.05m 179.25m 0m 0m
OCF Operating Cash Flow
R390.05M R727.17M R468.41M R603.88M R500.76M R680.11M R609.57M R584.83M R817.36M R984.45M R846.42M R615.83M R590.27M R1.12B R566.13M R1.59B R0.00M R136.87M R0.00M
FCF Free Cash Flow
R145.46M R344.39M R216.05M R311.39M R214.16M R219.17M R126.27M R74.23M R267.82M R543.94M R405.13M R194.96M R8.73M R703.21M R-129.74M R438.39M R0.00M R23.04M R0.00M
FCFS Free Cash Flow Per Share
R0.89 R1.89 R1.18 R1.70 R1.16 R1.19 R0.68 R0.40 R1.42 R2.98 R2.23 R1.07 R0.05 R3.89 R-0.72 R2.43 R0.00 R0.23 R0.00