The SPAR Group Ltd financials at a glance

Year Year 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2004 2022 2023 2024
Rev. Revenue
R13.74B R17.18B R21.92B R26.99B R31.96B R34.84B R38.46B R43.17B R47.80B R54.48B R73.26B R90.69B R95.37B R101.02B R109.48B R124.28B R127.94B R11.99B R135.61B R149.32B R0.00M
GM % Gross Margin %
9.74% 9.29% 9.09% 8.93% 8.04% 7.92% 8.12% 7.98% 8.85% 8.26% 8.69% 9.27% 10.71% 10.68% 10.65% 11.89% 12.00% 9.17% 12.02% 12.02% 0.00%
OM Operating Margin
3.64% 3.51% 3.53% 3.60% 3.37% 3.74% 3.65% 3.50% 3.44% 3.42% 3.13% 2.84% 2.70% 2.75% 2.72% 2.77% 2.62% 3.30% 2.47% 1.64% 0.00%
EPS Earnings Per Share
R2.08 R2.31 R2.98 R3.90 R4.85 R5.44 R5.26 R5.71 R6.50 R7.82 R7.70 R10.09 R9.46 R9.59 R11.24 R11.32 R11.94 R11.59 R6.06 R0.00
Div. Dividends
R0.95 R1.23 R1.85 R2.55 R3.22 R3.62 R3.77 R4.30 R4.85 R5.40 R6.32 R6.65 R6.75 R7.29 R8.00 R8.65 R8.16 R0.00 R4.00 R0.00 R0.00
PR % Payout Ratio %
45.67% 53.25% 62.08% 65.38% 66.39% 66.54% 71.67% 75.31% 74.62% 69.05% 82.08% 65.91% 71.35% 76.02% 71.17% 76.41% 68.34% 0 34.51% 0.00% 0
Sha. Shares
168.76m 169.26m 167.2m 166.39m 168.4m 170.6m 171.04m 171.63m 172.3m 172.46m 172.87m 172.9m 192.51m 192.51m 192.55m 192.48m 192.51m 0m 192.51m 192.41m 0m
OCF Operating Cash Flow
R421.20M R559.70M R1.17B R-24.30M R683.10M R817.40M R1.36B R1.82B R338.80M R1.35B R2.28B R2.70B R2.66B R3.33B R1.13B R5.22B R3.62B R353.38M R3.83B R4.82B R0.00M
FCF Free Cash Flow
R347.00M R369.90M R856.40M R-450.40M R241.60M R611.80M R578.20M R1.08B R-746.60M R1.09B R1.72B R1.80B R1.38B R2.43B R17.40M R3.17B R1.39B R301.71M R2.05B R2.79B R0.00M
FCFS Free Cash Flow Per Share
R2.05 R2.18 R5.13 R-2.69 R1.42 R3.58 R7.02 R9.66 R0.21 R6.49 R10.09 R10.49 R7.74 R13.11 R0.09 R19.98 R11.31 R1.79 R10.64 R14.50 R0.00