GSK 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
£19.99B £21.66B £23.23B £22.72B £24.35B £28.37B £28.39B £27.39B £26.43B £26.51B £23.01B £23.92B £27.89B £30.19B £30.82B £33.75B £34.10B £24.70B £29.32B £30.33B £0.00M
GM % Gross Margin %
78.18% 78.01% 78.43% 77.08% 76.28% 74.95% 72.88% 71.98% 69.54% 67.52% 68.17% 62.99% 68.06% 69.13% 68.48% 68.03% 68.06% 67.47% 67.92% 72.34% 0.00%
OM Operating Margin
28.10% 32.54% 34.39% 34.06% 35.48% 32.07% 32.01% 27.31% 22.52% 22.12% 17.36% 10.65% 18.96% 22.27% 24.32% 24.30% 24.74% 22.81% 24.97% 26.09% 0.00%
EPS Earnings Per Share
£1.03 £1.18 £1.23 £1.30 £1.50 £0.67 £1.41 £1.39 £1.38 £1.19 £0.94 £1.28 £1.40 £1.49 £1.55 £1.45 £1.42 £1.40 £1.52 £0.00
Div. Dividends
£0.53 £0.55 £0.60 £0.66 £0.71 £0.76 £0.81 £0.88 £0.93 £0.98 £1.00 £1.25 £1.00 £1.00 £1.00 £1.00 £1.00 £1.00 £0.61 £0.57 £0.00
PR % Payout Ratio %
56.38% 53.40% 50.85% 53.66% 54.62% 50.67% 120.90% 62.41% 66.91% 71.01% 84.03% 132.98% 78.13% 71.43% 67.11% 64.52% 68.97% 70.42% 43.57% 37.50% 0
Sha. Shares
4569.6m 4526.4m 4505.6m 4,372m 4149.61m 4151.52m 4048.4m 3962.82m 3860.77m 3833.05m 3857.08m 3840.78m 3877.55m 3915.84m 3931.84m 3959.57m 3982.18m 4006.38m 4048.79m 0m 4056.58m
OCF Operating Cash Flow
£4.94B £5.96B £4.36B £6.16B £7.21B £7.84B £6.80B £6.25B £4.38B £7.22B £5.18B £2.57B £6.50B £6.92B £8.42B £8.02B £8.44B £7.95B £7.40B £6.77B £0.00M
FCF Free Cash Flow
£4.16B £5.05B £2.99B £4.65B £5.77B £6.42B £5.72B £5.33B £3.32B £6.03B £3.99B £1.19B £4.95B £5.37B £5.69B £5.07B £5.41B £4.44B £6.26B £5.61B £0.00M
FCFS Free Cash Flow Per Share
£0.85 £1.10 £0.65 £0.91 £1.28 £1.56 £1.30 £1.28 £1.00 £1.46 £0.98 £0.23 £1.14 £1.22 £1.75 £1.58 £1.87 £1.48 £1.33 £1.09 £0.00