Dividend per share

21/05/20 07:17 augustine - IMPERIAL BRANDS PLC
During the year ended September 30 2019, dividend per share grew by 10% to 206.6 pence from the prior year's dividend per share of 187.8 pence (2017: 170.7 pence per share). Reference: annual reportEdited (1)
The position of account Property Plant And Equipment has moved above No account name found.
The position of account Other Assets has moved above No account name found.
New Account Intangible Assets created.
The amount value of account Intangible Assets for balance date 30/09/19 changed from 0 GBP to 18,596,000,000 GBP.
The amount value of account Intangible Assets for balance date 30/09/18 changed from 0 GBP to 19,117,000,000 GBP.
The amount value of account Intangible Assets for balance date 30/09/17 changed from 0 GBP to 19,763,000,000 GBP.
The amount value of account Intangible Assets for balance date 30/09/16 changed from 0 GBP to 20,704,000,000 GBP.
The amount value of account Intangible Assets for balance date 30/09/15 changed from 0 GBP to 18,690,000,000 GBP.
The amount value of account Intangible Assets for balance date 30/09/14 changed from 0 GBP to 15,334,000,000 GBP.
The amount value of account Intangible Assets for balance date 30/09/13 changed from 0 GBP to 16,855,000,000 GBP.
The amount value of account Long Term Investments for balance date 30/09/19 changed from 1,264,000,000 GBP to 758,000,000 GBP.
The amount value of account Long Term Investments for balance date 30/09/18 changed from 1,264,000,000 GBP to 1,307,000,000 GBP.
The amount value of account Property Plant And Equipment for balance date 30/09/19 changed from 0 GBP to 1,979,000,000 GBP.
The amount value of account Property Plant And Equipment for balance date 30/09/18 changed from 0 GBP to 1,891,000,000 GBP.
The amount value of account Deferred Long Term Asset Charges for balance date 30/09/19 changed from 533,000,000 GBP to 595,000,000 GBP.
The amount value of account Deferred Long Term Asset Charges for balance date 30/09/18 changed from 533,000,000 GBP to 600,000,000 GBP.
The amount value of account Other Assets for balance date 30/09/19 changed from 0 GBP to 714,000,000 GBP.
The amount value of account Other Assets for balance date 30/09/18 changed from 0 GBP to 680,000,000 GBP.
The amount value of account Cash And Cash Equivalents for balance date 30/09/19 changed from 2,042,000,000 GBP to 2,286,000,000 GBP.
The amount value of account Cash And Cash Equivalents for balance date 30/09/18 changed from 2,042,000,000 GBP to 775,000,000 GBP.
The amount value of account Net Receivables for balance date 30/09/19 changed from 2,383,000,000 GBP to 2,993,000,000 GBP.
The amount value of account Net Receivables for balance date 30/09/18 changed from 2,383,000,000 GBP to 2,585,000,000 GBP.
The amount value of account Short Term Investments for balance date 30/09/19 changed from 10,380,000,000 GBP to 137,000,000 GBP.
The amount value of account Short Term Investments for balance date 30/09/18 changed from 10,380,000,000 GBP to 37,000,000 GBP.
The amount value of account Inventory for balance date 30/09/19 changed from 2,842,000,000 GBP to 4,082,000,000 GBP.
The amount value of account Inventory for balance date 30/09/18 changed from 2,842,000,000 GBP to 3,692,000,000 GBP.
The amount value of account Other Current Assets for balance date 30/09/19 changed from 19,000,000 GBP to 1,590,000,000 GBP.
The amount value of account Other Current Assets for balance date 30/09/18 changed from 19,000,000 GBP to 164,000,000 GBP.
The amount value of account Common Stock for balance date 30/09/19 changed from 5,937,000,000 GBP to 103,000,000 GBP.
The amount value of account Common Stock for balance date 30/09/18 changed from 5,937,000,000 GBP to 103,000,000 GBP.
The amount value of account Treasury Stock for balance date 30/09/19 changed from 0 GBP to 1,252,000,000 GBP.
The amount value of account Treasury Stock for balance date 30/09/18 changed from 0 GBP to 980,000,000 GBP.
The amount value of account Capital Surplus for balance date 30/09/19 changed from 0 GBP to 5,837,000,000 GBP.
The amount value of account Capital Surplus for balance date 30/09/18 changed from 0 GBP to 5,837,000,000 GBP.
The amount value of account Retained Earnings for balance date 30/09/19 changed from 0 GBP to -2,255,000,000 GBP.
The amount value of account Retained Earnings for balance date 30/09/18 changed from 0 GBP to -1,150,000,000 GBP.
The amount value of account Other Stockholders' Equity for balance date 30/09/19 changed from 0 GBP to 647,000,000 GBP.
The amount value of account Other Stockholders' Equity for balance date 30/09/18 changed from 0 GBP to 675,000,000 GBP.
The amount value of account Accounts Payable for balance date 30/09/19 changed from 987,000,000 GBP to 9,536,000,000 GBP.
The amount value of account Accounts Payable for balance date 30/09/18 changed from 987,000,000 GBP to 8,270,000,000 GBP.
The amount value of account Short/Current Long Term Debt for balance date 30/09/19 changed from 14,227,000,000 GBP to 1,937,000,000 GBP.
The amount value of account Short/Current Long Term Debt for balance date 30/09/18 changed from 14,227,000,000 GBP to 2,397,000,000 GBP.
The amount value of account Other Current Liabilities for balance date 30/09/19 changed from 540,000,000 GBP to 909,000,000 GBP.
The amount value of account Other Current Liabilities for balance date 30/09/18 changed from 540,000,000 GBP to 570,000,000 GBP.
The amount value of account Long Term Debt for balance date 30/09/19 changed from 12,250,000,000 GBP to 11,697,000,000 GBP.
The amount value of account Long Term Debt for balance date 30/09/18 changed from 12,250,000,000 GBP to 9,598,000,000 GBP.
The amount value of account Deferred Long Term Liability Charges for balance date 30/09/19 changed from 0 GBP to 1,156,000,000 GBP.
The amount value of account Deferred Long Term Liability Charges for balance date 30/09/18 changed from 0 GBP to 1,113,000,000 GBP.
The amount value of account Other Liabilities for balance date 30/09/19 changed from 0 GBP to 2,911,000,000 GBP.
The amount value of account Other Liabilities for balance date 30/09/18 changed from 0 GBP to 2,455,000,000 GBP.
The amount value of account Long Term Investments for balance date 30/09/17 changed from 1,264,000,000 GBP to 1,368,000,000 GBP.
The amount value of account Property Plant And Equipment for balance date 30/09/17 changed from 0 GBP to 1,865,000,000 GBP.
The amount value of account Property Plant And Equipment for balance date 30/09/16 changed from 0 GBP to 1,959,000,000 GBP.
The amount value of account Deferred Long Term Asset Charges for balance date 30/09/17 changed from 533,000,000 GBP to 617,000,000 GBP.
The amount value of account Other Assets for balance date 30/09/17 changed from 0 GBP to 481,000,000 GBP.
The amount value of account Other Assets for balance date 30/09/16 changed from 0 GBP to 94,000,000 GBP.
The amount value of account Cash And Cash Equivalents for balance date 30/09/17 changed from 2,042,000,000 GBP to 624,000,000 GBP.
The amount value of account Net Receivables for balance date 30/09/17 changed from 2,383,000,000 GBP to 2,539,000,000 GBP.
The amount value of account Net Receivables for balance date 30/09/16 changed from 2,582,000,000 GBP to 2,671,000,000 GBP.
The amount value of account Short Term Investments for balance date 30/09/17 changed from 10,380,000,000 GBP to 60,000,000 GBP.
The amount value of account Short Term Investments for balance date 30/09/16 changed from 12,098,000,000 GBP to 46,000,000 GBP.
The amount value of account Inventory for balance date 30/09/17 changed from 2,842,000,000 GBP to 3,604,000,000 GBP.
The amount value of account Other Current Assets for balance date 30/09/17 changed from 19,000,000 GBP to 69,000,000 GBP.
The amount value of account Other Current Assets for balance date 30/09/16 changed from 14,000,000 GBP to 45,000,000 GBP.
The amount value of account Common Stock for balance date 30/09/17 changed from 5,937,000,000 GBP to 103,000,000 GBP.
The amount value of account Common Stock for balance date 30/09/16 changed from 5,937,000,000 GBP to 103,000,000 GBP.
The amount value of account Treasury Stock for balance date 30/09/17 changed from 0 GBP to 828,000,000 GBP.
The amount value of account Treasury Stock for balance date 30/09/16 changed from 899,000,000 GBP to 896,000,000 GBP.
The amount value of account Capital Surplus for balance date 30/09/17 changed from 0 GBP to 5,837,000,000 GBP.
The amount value of account Capital Surplus for balance date 30/09/16 changed from 0 GBP to 5,836,000,000 GBP.
The amount value of account Retained Earnings for balance date 30/09/17 changed from 0 GBP to -1,084,000,000 GBP.
The amount value of account Retained Earnings for balance date 30/09/16 changed from 0 GBP to -1,525,000,000 GBP.
The amount value of account Other Stockholders' Equity for balance date 30/09/17 changed from 0 GBP to 542,000,000 GBP.
The amount value of account Other Stockholders' Equity for balance date 30/09/16 changed from 0 GBP to 431,000,000 GBP.
The amount value of account Accounts Payable for balance date 30/09/17 changed from 987,000,000 GBP to 8,104,000,000 GBP.
The amount value of account Accounts Payable for balance date 30/09/16 changed from 946,000,000 GBP to 7,991,000,000 GBP.
The amount value of account Short/Current Long Term Debt for balance date 30/09/17 changed from 14,227,000,000 GBP to 2,353,000,000 GBP.
The amount value of account Short/Current Long Term Debt for balance date 30/09/16 changed from 13,938,000,000 GBP to 1,544,000,000 GBP.
The amount value of account Other Current Liabilities for balance date 30/09/17 changed from 540,000,000 GBP to 421,000,000 GBP.
The amount value of account Other Current Liabilities for balance date 30/09/16 changed from 772,000,000 GBP to 590,000,000 GBP.
The amount value of account Long Term Debt for balance date 30/09/17 changed from 12,250,000,000 GBP to 10,196,000,000 GBP.
The amount value of account Deferred Long Term Liability Charges for balance date 30/09/17 changed from 0 GBP to 1,091,000,000 GBP.
The amount value of account Deferred Long Term Liability Charges for balance date 30/09/16 changed from 0 GBP to 1,034,000,000 GBP.
The amount value of account Other Liabilities for balance date 30/09/17 changed from 0 GBP to 2,599,000,000 GBP.
The amount value of account Other Liabilities for balance date 30/09/16 changed from 0 GBP to 3,434,000,000 GBP.
The amount value of account Long Term Investments for balance date 30/09/15 changed from 1,264,000,000 GBP to 1,499,000,000 GBP.
The amount value of account Long Term Investments for balance date 30/09/14 changed from 1,082,000,000 GBP to 1,166,000,000 GBP.
The amount value of account Long Term Investments for balance date 30/09/13 changed from 329,000,000 GBP to 858,000,000 GBP.
The amount value of account Property Plant And Equipment for balance date 30/09/15 changed from 0 GBP to 1,768,000,000 GBP.
The amount value of account Property Plant And Equipment for balance date 30/09/14 changed from 0 GBP to 1,854,000,000 GBP.
The amount value of account Property Plant And Equipment for balance date 30/09/13 changed from 0 GBP to 2,069,000,000 GBP.
The amount value of account Other Assets for balance date 30/09/15 changed from 0 GBP to 176,000,000 GBP.
The amount value of account Other Assets for balance date 30/09/14 changed from 0 GBP to 113,000,000 GBP.
The amount value of account Other Assets for balance date 30/09/13 changed from 0 GBP to 85,000,000 GBP.
The amount value of account Cash And Cash Equivalents for balance date 30/09/13 changed from 1,809,000,000 GBP to 1,793,000,000 GBP.
The amount value of account Net Receivables for balance date 30/09/15 changed from 2,383,000,000 GBP to 2,454,000,000 GBP.
The amount value of account Net Receivables for balance date 30/09/14 changed from 2,737,000,000 GBP to 2,761,000,000 GBP.
The amount value of account Net Receivables for balance date 30/09/13 changed from 2,918,000,000 GBP to 2,899,000,000 GBP.
The amount value of account Short Term Investments for balance date 30/09/15 changed from 10,380,000,000 GBP to 74,000,000 GBP.
The amount value of account Short Term Investments for balance date 30/09/14 changed from 10,289,000,000 GBP to 38,000,000 GBP.
The amount value of account Short Term Investments for balance date 30/09/13 changed from 11,208,000,000 GBP to 245,000,000 GBP.
The amount value of account Inventory for balance date 30/09/13 changed from 3,296,000,000 GBP to 3,239,000,000 GBP.
The amount value of account Other Current Assets for balance date 30/09/15 changed from 19,000,000 GBP to 56,000,000 GBP.
The amount value of account Other Current Assets for balance date 30/09/14 changed from 11,000,000 GBP to 96,000,000 GBP.
The amount value of account Other Current Assets for balance date 30/09/13 changed from 42,000,000 GBP to 72,000,000 GBP.
The amount value of account Common Stock for balance date 30/09/15 changed from 5,937,000,000 GBP to 104,000,000 GBP.
The amount value of account Common Stock for balance date 30/09/14 changed from 5,937,000,000 GBP to 104,000,000 GBP.
The amount value of account Common Stock for balance date 30/09/13 changed from 5,940,000,000 GBP to 107,000,000 GBP.
The amount value of account Treasury Stock for balance date 30/09/15 changed from 0 GBP to -298,000,000 GBP.
The amount value of account Treasury Stock for balance date 30/09/14 changed from 0 GBP to -119,000,000 GBP.
The amount value of account Capital Surplus for balance date 30/09/15 changed from 0 GBP to 5,836,000,000 GBP.
The amount value of account Capital Surplus for balance date 30/09/14 changed from 0 GBP to 5,836,000,000 GBP.
The amount value of account Capital Surplus for balance date 30/09/13 changed from 0 GBP to 5,833,000,000 GBP.
The amount value of account Retained Earnings for balance date 30/09/15 changed from 0 GBP to -315,000,000 GBP.
The amount value of account Retained Earnings for balance date 30/09/14 changed from 0 GBP to -756,000,000 GBP.
The amount value of account Retained Earnings for balance date 30/09/13 changed from 0 GBP to -791,000,000 GBP.
The amount value of account Other Stockholders' Equity for balance date 30/09/15 changed from 0 GBP to 369,000,000 GBP.
The amount value of account Other Stockholders' Equity for balance date 30/09/14 changed from 0 GBP to 398,000,000 GBP.
The amount value of account Other Stockholders' Equity for balance date 30/09/13 changed from 0 GBP to 43,000,000 GBP.
The amount value of account Accounts Payable for balance date 30/09/15 changed from 987,000,000 GBP to 6,795,000,000 GBP.
The amount value of account Accounts Payable for balance date 30/09/14 changed from 990,000,000 GBP to 6,957,000,000 GBP.
The amount value of account Accounts Payable for balance date 30/09/13 changed from 1,055,000,000 GBP to 7,303,000,000 GBP.
The amount value of account Short/Current Long Term Debt for balance date 30/09/15 changed from 14,227,000,000 GBP to 1,957,000,000 GBP.
The amount value of account Short/Current Long Term Debt for balance date 30/09/14 changed from 9,891,000,000 GBP to 429,000,000 GBP.
The amount value of account Short/Current Long Term Debt for balance date 30/09/13 changed from 11,134,000,000 GBP to 3,236,000,000 GBP.
The amount value of account Other Current Liabilities for balance date 30/09/15 changed from 540,000,000 GBP to 389,000,000 GBP.
The amount value of account Other Current Liabilities for balance date 30/09/14 changed from 559,000,000 GBP to 349,000,000 GBP.
The amount value of account Other Current Liabilities for balance date 30/09/13 changed from 617,000,000 GBP to 445,000,000 GBP.
The amount value of account Long Term Debt for balance date 30/09/13 changed from 7,858,000,000 GBP to 7,857,000,000 GBP.
The amount value of account Deferred Long Term Liability Charges for balance date 30/09/15 changed from 0 GBP to 1,170,000,000 GBP.
The amount value of account Deferred Long Term Liability Charges for balance date 30/09/14 changed from 0 GBP to 1,430,000,000 GBP.
The amount value of account Deferred Long Term Liability Charges for balance date 30/09/13 changed from 0 GBP to 1,779,000,000 GBP.
The amount value of account Other Liabilities for balance date 30/09/15 changed from 0 GBP to 1,877,000,000 GBP.
The amount value of account Other Liabilities for balance date 30/09/14 changed from 0 GBP to 1,801,000,000 GBP.
The amount value of account Other Liabilities for balance date 30/09/13 changed from 0 GBP to 2,009,000,000 GBP.