Hiscox 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
£765.77M £761.06M £1.01B £1.08B £867.34M £1.30B £1.25B £1.19B £1.30B £1.36B £1.39B £1.49B £1.78B £2.58B £2.66B £2.91B £3.00B £3.02B £2.79B £3.70B £0.00M
GM % Gross Margin %
26.87% 13.67% 38.80% 36.53% 18.45% 44.66% 32.92% 18.46% 36.98% 39.51% 38.94% 31.85% 28.32% 18.07% 20.71% 13.42% 2.48% 19.00% 15.90% 22.74% 0.00%
OM Operating Margin
16.54% 2.09% 24.63% 21.86% 0.04% 27.01% 16.45% 1.34% 18.95% 19.21% 16.61% 14.27% 12.82% 5.79% 6.90% 2.84% -6.98% 7.78% 2.20% 18.99% 0.00%
EPS Earnings Per Share
£0.22 £0.58 £0.67 £0.26 £1.04 £0.65 £0.08 £0.73 £0.80 £0.77 £0.71 £1.16 £0.09 £0.34 £0.13 £-0.66 £0.41 £0.10 £1.59 £0.00
Div. Dividends
£0.07 £0.10 £0.14 £0.17 £0.18 £0.22 £0.24 £0.24 £0.26 £0.27 £0.26 £0.24 £0.28 £0.29 £0.32 £0.34 £0.00 £0.26 £0.30 £0.30 £0.00
PR % Payout Ratio %
26.92% 45.45% 24.14% 25.37% 69.23% 21.15% 36.92% 300.00% 35.62% 33.75% 33.77% 33.80% 24.14% 322.22% 94.12% 261.54% -0.00% 63.41% 300.00% 18.87% 0
Sha. Shares
202.76m 205.07m 273.8m 276.3m 256.98m 261.4m 265.38m 270.75m 274.83m 277.95m 280.46m 284.54m 285.56m 286.92m 287.73m 288.5m 346.38m 341.65m 346.47m 0m 344.54m
OCF Operating Cash Flow
£38.52M £18.92M £181.86M £-123.52M £200.94M £-140.03M £271.00M £258.20M £225.11M £115.90M £341.95M £71.52M £56.89M £95.25M £300.40M £39.50M £-117.10M £16.60M £373.40M £232.10M £0.00M
FCF Free Cash Flow
£32.95M £14.45M £176.41M £-131.31M £196.42M £-148.83M £267.54M £255.64M £222.01M £111.35M £330.23M £52.25M £33.65M £62.01M £224.48M £-45.26M £-135.66M £8.58M £297.55M £231.00M £0.00M
FCFS Free Cash Flow Per Share
£0.14 £0.05 £0.64 £-0.49 £0.73 £-0.58 £0.95 £0.92 £0.79 £0.36 £1.07 £0.07 £0.11 £0.17 £0.85 £-0.20 £-0.56 £-0.12 £0.84 £0.55 £0.00