Stock Scorer

INTEGRAFIN HOLDINGS PLC (IHP.L)

These figures are from 2024-09-30. Nothing newer has been filed in the 24 months since.

INTEGRAFIN HOLDINGS PLC reported revenue of 144.9M GBP for the year ending 30 September 2024, up 7.4% from 134.9M a year earlier.

Every figure below is the company's own, as filed. Nothing is estimated and nothing is smoothed — a period the filing does not support is left blank rather than filled in. Quarters are the company's own, counted from its financial year ending 09-30. Amounts in GBP. The same series drawn ›

As last reported

The newest period the filing supports for each figure, in GBP.
FigurePeriodAmountYear on year
Revenue 2024 · ending 30 September 2024 144.9M +7.4%
Gross Profit 2024 · ending 30 September 2024 141.9M +8.3%
Operating Income 2024 · ending 30 September 2024 57M +1.2%
Net Income 2024 · ending 30 September 2024 52.1M +4.4%
Operating Cash Flow 2024 · ending 30 September 2024 277.2M +3750.0%
Free Cash Flow 2023 · ending 30 September 2023 6.5M -97.3%

Revenue and profit by financial year

As filed, in GBP. A year the filing does not support is not listed.
YearEnding RevenueOperating IncomeNet IncomeFree Cash Flow
20242024-09-30 144.9M57M52.1M
20232023-09-30 134.9M56.3M49.9M6.5M
20222022-09-30 133.6M53.6M44M236.4M
20212021-09-30 123.7M63.2M51.1M-56.9M

Every period

Revenue Annual

PeriodEndingRevenue
FY242024-09-30144.9M
FY232023-09-30134.9M
FY222022-09-30133.6M
FY212021-09-30123.7M

Gross Profit Annual

PeriodEndingGross Profit
FY242024-09-30141.9M
FY232023-09-30131M
FY222022-09-30131.5M
FY212021-09-30122.2M

Operating Income Annual

PeriodEndingOperating Income
FY242024-09-3057M
FY232023-09-3056.3M
FY222022-09-3053.6M
FY212021-09-3063.2M

Net Income Annual

PeriodEndingNet Income
FY242024-09-3052.1M
FY232023-09-3049.9M
FY222022-09-3044M
FY212021-09-3051.1M

Operating Cash Flow Annual

PeriodEndingOperating Cash Flow
FY242024-09-30277.2M
FY232023-09-307.2M
FY222022-09-30236.7M
FY212021-09-30-56.2M

Free Cash Flow Annual

Operating cash flow minus capital expenditure.

PeriodEndingFree Cash Flow
FY232023-09-306.5M
FY222022-09-30236.4M
FY212021-09-30-56.9M