Cadbury Nigeria Plc 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
₦22.15B ₦29.45B ₦19.22B ₦19.94B ₦24.30B ₦25.59B ₦29.17B ₦34.11B ₦33.55B ₦35.76B ₦30.52B ₦27.83B ₦29.98B ₦33.08B ₦35.97B ₦39.33B ₦35.41B ₦42.37B ₦55.21B ₦80.38B ₦0.00M
GM % Gross Margin %
39.29% 38.09% 36.69% 24.20% 29.32% 25.11% 31.71% 32.71% 32.76% 36.63% 27.47% 32.09% 22.88% 22.48% 22.12% 21.17% 16.66% 15.29% 13.99% 21.57% 0.00%
OM Operating Margin
18.85% 16.18% -8.87% -12.72% -3.51% 3.22% 7.47% 13.10% 11.50% 16.00% 6.73% 5.11% -2.49% 1.92% 4.70% 3.42% 0.60% 1.10% 0.20% 9.75% 0.00%
EPS Earnings Per Share
₦1.83 ₦1.92 ₦0.75 ₦0.61 ₦-0.16 ₦0.16 ₦0.44 ₦0.67 ₦0.09 ₦-14.71 ₦0.00
Div. Dividends
₦0.00 ₦0.00 ₦0.00 ₦0.00 ₦0.00 ₦0.00 ₦0.00 ₦0.00 ₦0.83 ₦1.30 ₦0.65 ₦0.65 ₦0.00 ₦0.00 ₦0.25 ₦0.25 ₦0.18 ₦0.00 ₦0.00 ₦0.00 ₦0.00
PR % Payout Ratio %
0 0 0 0 0 0 0 0 45.36% 67.71% 86.67% 106.56% -0.00% 0 56.82% 37.31% 200.00% 0 0 0 0
Sha. Shares
600.5m 600.51m 660.51m 660.51m 660.51m 2201.68m 1877.51m 1877.51m 1877.51m 1878.22m 1878.2m 1878.2m 1878.2m 1878.2m 1878.2m 1878.2m 1878.2m 1878.2m 1878.2m 0m 1878.2m
OCF Operating Cash Flow
₦2.34B ₦1.12B ₦-10901.10M ₦3.43B ₦1.78B ₦4.36B ₦4.48B ₦5.62B ₦7.20B ₦6.62B ₦1.42B ₦3.78B ₦-1848.86M ₦-1471.63M ₦6.70B ₦2.29B ₦4.25B ₦674.01M ₦-2534.93M ₦2.80B ₦0.00M
FCF Free Cash Flow
₦-515.00M ₦-1040.89M ₦-13272.53M ₦2.71B ₦1.17B ₦3.60B ₦1.50B ₦3.34B ₦3.76B ₦1.80B ₦-19.44M ₦2.82B ₦-2132.16M ₦-2697.44M ₦5.84B ₦573.58M ₦3.45B ₦-914.97M ₦-4941.77M ₦515.01M ₦0.00M
FCFS Free Cash Flow Per Share
₦-0.86 ₦-1.58 ₦-20.09 ₦4.10 ₦1.78 ₦4.05 ₦0.79 ₦1.78 ₦1.99 ₦0.95 ₦-0.04 ₦1.50 ₦-1.23 ₦-1.44 ₦3.11 ₦0.28 ₦1.85 ₦-0.49 ₦-2.63 ₦-0.48 ₦0.00