4imprint Group 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
£88.97M £96.48M £119.52M £146.82M £168.09M £0.00M £143.72M £158.82M £183.51M £332.94M £415.77M £0.00M £558.22M £627.52M £738.42M £860.84M £0.00M £787.32M £1.14B £1.33B £0.00M
GM % Gross Margin %
34.65% 36.03% 36.32% 36.97% 23.22% 0.00% 25.39% 25.57% 32.27% 27.44% 29.06% 0.00% 30.07% 30.17% 29.62% 29.97% 0.00% 26.72% 26.80% 28.92% 0.00%
OM Operating Margin
3.60% 5.81% 6.31% 6.11% 5.19% 0.00% 3.74% 4.49% 3.73% 4.51% 6.24% 0.00% 6.72% 6.59% 6.09% 6.18% 0.00% 3.90% 9.06% 10.30% 0.00%
EPS Earnings Per Share
£0.27 £0.41 £0.58 £0.33 £0.26 £0.48 £0.35 £0.42 £0.59 £0.72 £0.88 £0.99 £1.08 £1.29 £1.54 £0.13 £0.80 £2.85 £3.77 £0.00
Div. Dividends
£0.10 £0.12 £0.19 £0.16 £0.17 £0.13 £0.15 £0.23 £0.23 £0.28 £0.31 £0.38 £0.53 £0.58 £0.70 £0.25 £0.00 £0.45 £1.32 £2.15 £0.00
PR % Payout Ratio %
0 44.44% 46.34% 27.59% 51.52% 50.00% 31.25% 65.71% 54.76% 47.46% 43.06% 43.18% 53.54% 53.70% 54.26% 16.23% 0.00% 56.25% 46.32% 57.03% 0
Sha. Shares
28.76m 28.76m 25.05m 25.39m 25.25m 25.2m 25.4m 25.4m 26.05m 26.46m 27.59m 27.93m 28.07m 28.01m 28.03m 28m 27.98m 28.06m 28.06m 0m 28.14m
OCF Operating Cash Flow
£7.82M £4.85M £2.35M £-2.28M £10.88M £0.00M £7.86M £11.19M £-7.43M £15.29M £-5.38M £0.00M £20.00M £28.03M £34.03M £46.68M £0.00M £11.43M £76.98M £137.00M £0.00M
FCF Free Cash Flow
£7.53M £4.39M £1.53M £-3.50M £8.07M £0.00M £6.98M £14.95M £-14.44M £14.70M £-7.48M £10.07M £25.83M £25.67M £29.70M £39.01M £-0.76M £15.17M £69.27M £122.48M £0.00M
FCFS Free Cash Flow Per Share
£0.23 £0.15 £0.04 £-0.17 £0.29 £0.00 £0.25 £0.36 £-0.36 £0.50 £-0.27 £0.00 £0.60 £0.92 £1.11 £1.37 £0.00 £0.28 £2.46 £4.52 £0.00