Period FY 2022
US$m
FY 2021
US$m
FY 2020
US$m
Sales 119.9 87.1 63.8
Gross Profit 38.6 25.9 20.1
Adjusted Profit Before Tax1 10.2  5.4 1.3
Adjusted Fully Diluted EPS2 17.8c 5.9c -0.4c
Dividend 3p 2.4p 2.0p
Net Assets 72.2 64.1 63.4
Net Cash 12.9 17.6 17.4
Net Cash Inflow from Operations 0.8 4.4 4.0

1. Adjusted by adding back items included in the adjusted PBT reconciliation in note 1 to the financial statements totalling 2022: TBC, 2021: $0.5m, 2020: $3.3m.

2. Adjusted by adding back the items included in note 1 above and subtracting the associated tax effect as set out in note 10 to the financial statements. These amounted to 2022: TBC, 2021: $0.3m, 2020: $2.7m.


Further financial data can be found in the Report & Publications section.