ICL Group 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
₪2.71B ₪2.99B ₪3.26B ₪4.10B ₪6.90B ₪4.55B ₪5.69B ₪6.87B ₪6.47B ₪6.27B ₪6.11B ₪5.41B ₪5.36B ₪5.42B ₪5.56B ₪5.27B ₪5.04B ₪6.96B ₪10.02B ₪7.54B ₪0.00M
GM % Gross Margin %
34.51% 37.08% 33.80% 37.73% 49.87% 40.09% 42.53% 44.94% 41.67% 38.42% 35.94% 33.36% 30.95% 30.86% 33.37% 34.47% 29.55% 37.54% 50.24% 35.44% 0.00%
OM Operating Margin
13.05% 18.40% 14.87% 17.82% 34.67% 21.83% 22.95% 27.33% 24.11% 17.90% 15.43% 12.36% 9.02% 10.89% 13.35% 13.41% 6.58% 16.84% 35.19% 15.14% 0.00%
EPS Earnings Per Share
₪0.33 ₪0.29 ₪0.42 ₪1.71 ₪0.61 ₪0.84 ₪1.19 ₪1.05 ₪0.80 ₪0.55 ₪0.55 ₪0.35 ₪0.30 ₪0.37 ₪0.37 ₪0.20 ₪0.64 ₪1.82 ₪0.55 ₪0.00
Div. Dividends
₪0.10 ₪0.12 ₪0.36 ₪0.29 ₪0.74 ₪0.42 ₪0.53 ₪0.82 ₪0.72 ₪0.44 ₪0.67 ₪0.28 ₪0.18 ₪0.15 ₪0.18 ₪0.22 ₪0.10 ₪0.31 ₪0.91 ₪0.26 ₪0.00
PR % Payout Ratio %
50.00% 36.36% 124.14% 69.05% 43.27% 68.85% 63.10% 68.91% 68.57% 55.00% 121.82% 50.91% 51.43% 50.00% 48.65% 59.46% 50.00% 48.44% 50.00% 47.27% 0
Sha. Shares
1196.16m 1229.1m 1261.57m 1285.07m 1263.55m 1263.64m 1268.78m 1270.72m 1272.33m 1272.64m 1271.35m 1275.11m 1276.39m 1278.38m 1280.3m 1280.35m 1280.55m 1284.15m 1287.15m 0m 1289.26m
OCF Operating Cash Flow
₪429.92M ₪500.30M ₪358.64M ₪570.71M ₪1.85B ₪1.20B ₪1.54B ₪1.36B ₪1.73B ₪1.13B ₪893.00M ₪573.00M ₪966.00M ₪847.00M ₪620.00M ₪992.00M ₪804.00M ₪1.07B ₪2.03B ₪1.60B ₪0.00M
FCF Free Cash Flow
₪305.37M ₪335.50M ₪214.57M ₪381.63M ₪1.53B ₪853.25M ₪1.20B ₪773.27M ₪924.70M ₪300.32M ₪143.00M ₪-46.00M ₪166.00M ₪390.00M ₪48.00M ₪467.00M ₪221.00M ₪454.00M ₪1.32B ₪763.00M ₪0.00M
FCFS Free Cash Flow Per Share
₪0.25 ₪0.27 ₪0.17 ₪0.28 ₪1.19 ₪0.66 ₪0.94 ₪0.63 ₪0.79 ₪0.22 ₪0.05 ₪-0.04 ₪0.26 ₪0.31 ₪0.04 ₪0.33 ₪0.14 ₪0.35 ₪0.99 ₪0.00 ₪0.00