Oakley Capital Investments Limited (OCI)

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OCILondon Stock Exchange
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Revenue

Free cash flow

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Total cash / debt

CashTotal debt

Financial statements

7 annual periodsNewest to oldest
2025202420232022202120202019
Revenue£78.4M£41.9M£57.1M£230.0M£252.5M£100.0M£153.2M
Operating expenses£10.2M£7.9M£8.0M£7.0M£3.8M£7.6M£17.9M
Operating income£68.2M£34.0M£49.1M£223.0M
Operating margin86.97%81.17%85.99%96.95%
Net income£58.6M£26.9M£47.5M£223.0M£248.7M£92.4M£135.3M
Net profit margin74.73%64.13%83.18%96.95%98.51%92.38%88.32%
Basic EPSper basic share£0.34£0.15£0.27£1.26£1.38£0.48£0.66
Diluted EPSper diluted share£0.34£0.15£0.27£1.26£1.38£0.48£0.66

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