Santam Ltd financials at a glance

Year Year 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Rev. Revenue
R9.41B R10.76B R11.71B R12.14B R12.14B R14.39B R15.20B R15.75B R17.42B R18.45B R19.33B R21.20B R22.15B R24.52B R25.95B R28.18B R28.26B R30.46B R32.10B R42.53B R0.00M
GM % Gross Margin %
38.45% 31.43% 28.92% 25.07% 17.43% 21.97% 27.66% 25.53% 24.13% 22.33% 28.30% 30.43% 24.94% 25.43% 29.28% 29.18% 22.53% 27.96% 25.13% 12.47% 0.00%
OM Operating Margin
25.09% 20.63% 19.58% 14.44% 6.48% 11.72% 16.44% 11.49% 10.15% 7.69% 12.22% 14.67% 10.07% 10.28% 11.80% 12.81% 6.54% 12.00% 8.45% 10.59% 0.00%
EPS Earnings Per Share
R15.08 R15.35 R9.06 R5.82 R8.89 R15.32 R12.02 R8.95 R9.73 R14.35 R18.22 R10.75 R14.11 R20.84 R20.56 R10.94 R24.81 R18.27 R22.95 R0.00
Div. Dividends
R2.90 R3.35 R3.80 R4.10 R4.30 R4.66 R5.10 R5.55 R6.40 R6.75 R7.42 R8.16 R8.81 R9.52 R10.28 R11.10 R0.00 R12.22 R13.07 R19.19 R0.00
PR % Payout Ratio %
19.44% 22.21% 24.76% 45.25% 73.88% 52.42% 33.29% 46.17% 71.51% 69.37% 51.71% 44.79% 81.95% 67.47% 49.33% 53.99% 0.00% 49.25% 71.54% 83.62% 0
Sha. Shares
115.2m 115.2m 116.25m 112.08m 112.7m 112.7m 112.9m 112.9m 112.9m 112.9m 112.9m 112.9m 112.9m 112.9m 112.9m 112.9m 112.9m 112.9m 112.9m 112.9m 112.9m
OCF Operating Cash Flow
R1.73B R1.59B R1.59B R1.81B R706.00M R1.61B R1.27B R1.59B R1.74B R1.28B R1.93B R2.54B R1.33B R1.24B R1.14B R2.90B R1.13B R1.88B R3.54B R667.00M R0.00M
FCF Free Cash Flow
R1.71B R1.57B R1.57B R1.77B R658.00M R1.58B R1.24B R1.55B R1.67B R1.24B R1.86B R2.51B R1.27B R1.17B R1.07B R2.84B R1.06B R1.87B R3.47B R478.00M R0.00M
FCFS Free Cash Flow Per Share
R14.94 R13.52 R13.42 R15.61 R5.85 R13.95 R10.96 R13.46 R14.45 R10.25 R15.39 R21.54 R11.06 R10.39 R9.48 R25.14 R8.89 R16.12 R31.23 R4.63 R0.00