International Distributions Services PLC (LSE:IDS)
-- GBX
0.000 0.000%Sponsored Reports
Previous Close (in GBX) | 359 |
---|---|
Change | 0.000 0.000% |
52 W H/L (in GBX) | 290.300/191.200 |
EBITDA (in GBX) | 100M |
PE Ratio | -- |
Volume | -- |
Diluted Eps TTM | -1.06 |
Total Assets (in GBX) | 8816M |
---|---|
Total Liabilities (in GBX) | 5014M |
Revenue TTM (in GBX) | 12068M |
Cash (in GBX) | 898M |
Market Cap (in GBX) | 2,664.910 M |
Revenue Per Share TTM | 12.623 |
Gross Profit TTM (in GBX) | 4466M |
Summary
Income Statement
Balance Sheet
Change in Cash
Operating Cash
Dividend Paid
International Distributions Services PLC
185 Farringdon Road, London, United Kingdom, EC1A 1AA
44 34 5774 0740
Employees: 162511
Key Executives
Sr. No. | Name | Title | Year Born |
---|---|---|---|
1. | Mr. Keith Williams ACA, C.A. | Independent Non-Exec. Chairman & Member of Management Board | 1956 |
2. | Mr. Simon Thompson | CEO & Director | NA |
3. | Mr. Mick Jeavons | Group CFO & Exec. Director | NA |
4. | Mr. Martin Seidenberg | Exec. Director | NA |
5. | Mr. Shane O'Riordain | MD of Corp. Affairs, Regulation & Marketing and Member of the Exec. Board | NA |
6. | Mr. Mark Amsden | Group Gen. Counsel, Company Sec., Chief Risk & Governance Officer and Member of Exec. Board | NA |
7. | Ms. Mel Tomlin | Chief of Staff & Member of Exec. Board | NA |
8. | Ms. Sally Anne Ashford | Chief HR Officer & Member of Exec. Board | 1970 |
9. | Mr. Christian Herrlich | Group Chief Information Officer & Member of the Exec. Board | NA |
10. | Mr. Achim Dünnwald | COO & Member of the Exec. Board | NA |
Peers
Sector: Industrials
Industry: Integrated Freight & Logistics
Company | Change (GBX) | Price (GBX) | Trailing PE(x) | Forward PE(x) | Price Sales TTM(x) | Price to Book Value(x) | Enterprise Value to Revenue(x) | Enterprise Value to EBITDA(x) |
HSP
Hargreaves Services Plc |
-3.385 0.513% | 682 | 4.880 | 0.000 | 0.701 | 0.707 | 0.742 | 3.542 |
LDG
Logistics Development Group PLC |
-0.140 0.933% | 15.44 | 0.000 | 0.000 | 0.000 | 0.576 | 0.000 | -12.242 |
Income Statement
(Currency in GBX)Breakdown | 31-03-2023 | 26-03-2023 | 31-03-2022 | 27-03-2022 | 31-03-2021 |
---|---|---|---|---|---|
Income Before Tax | -676M | - | 662M | - | 726M |
Minority Interest | - | - | - | - | - |
Net Income | -873M | - | 612M | - | 620M |
Selling General Administrative | 3721M | - | 3556M | - | 3483M |
Gross Profit | 5507M | - | 6255M | - | 5119M |
Reconciled Depreciation | 602M | - | 540M | - | 573M |
Ebit | -97M | -31M | 638M | 763M | 842M |
Ebitda | 505M | - | 1178M | - | 1415M |
Depreciation And Amortization | 602M | - | 540M | - | 573M |
Operating Income | -748M | - | 577M | - | 611M |
Other Operating Expenses | 12267M | - | 12144M | 848M | 11930M |
Interest Expense | 60M | - | 57M | 0M | 55M |
Tax Provision | 197M | - | 50M | - | 106M |
Interest Income | 126M | - | 70M | - | 134M |
Net Interest Income | 66M | - | 13M | - | 86M |
Income Tax Expense | 197M | - | 50M | 50M | 106M |
Total Revenue | 12044M | - | 12712M | - | 12638M |
Total Operating Expenses | 5730M | - | 5687M | - | 4411M |
Cost Of Revenue | 6537M | - | 6457M | - | 7519M |
Total Other Income Expense Net | -645M | - | -101M | - | -203M |
Net Income From Continuing Ops | -873M | - | 612M | - | 620M |
Net Income Applicable To Common Shares | - | - | - | 612M | - |
Balance Sheet
(Currency in GBX)Breakdown | 31-03-2023 | 26-03-2023 | 31-03-2022 | 27-03-2022 | 31-03-2021 |
---|---|---|---|---|---|
Total Assets | 8816M | - | 10679M | - | 9985M |
Intangible Assets | 304M | - | 488M | - | 468M |
Other Current Assets | 246M | - | 267M | 74M | 164M |
Total Liab | 5014M | - | 5345M | - | 5180M |
Total Stockholder Equity | 3802M | - | 5334M | - | 4805M |
Other Current Liab | 908M | 486M | 931M | 535M | 896M |
Common Stock | 10M | - | 10M | 10M | 10M |
Capital Stock | 10M | - | 10M | - | 10M |
Retained Earnings | 3761M | - | 5248M | 5248M | 4802M |
Good Will | 445M | - | 428M | - | 378M |
Other Assets | - | - | - | 3176M | - |
Cash | 898M | - | 1137M | - | 1573M |
Cash And Equivalents | - | - | - | - | - |
Total Current Liabilities | 2603M | - | 2739M | 2801M | 2725M |
Current Deferred Revenue | -761M | - | -737M | - | -745M |
Net Debt | 1500M | - | 1076M | - | 478M |
Short Term Debt | 312M | - | 213M | - | 197M |
Short Long Term Debt | 92M | - | - | - | 0M |
Short Long Term Debt Total | 2398M | - | 2213M | - | 2051M |
Other Stockholder Equity | 31M | - | 76M | 76M | -7M |
Property Plant Equipment | - | - | - | 3571M | - |
Total Current Assets | 2573M | - | 3015M | 3077M | 3268M |
Long Term Investments | - | - | - | - | - |
Short Term Investments | 70M | - | 70M | - | 30M |
Net Receivables | 1391M | 1443M | 1507M | 1594M | 1513M |
Long Term Debt | 944M | - | 872M | - | 895M |
Inventory | 42M | - | 34M | 34M | 18M |
Accounts Payable | 2144M | 1695M | 2332M | 1870M | 2377M |
Accumulated Other Comprehensive Income | - | - | - | - | - |
Non Currrent Assets Other | 2185M | - | 3060M | - | 2706M |
Non Current Assets Total | 6243M | - | 7664M | - | 6717M |
Capital Lease Obligations | 1362M | - | 1341M | - | 1156M |
Long Term Debt Total | - | - | - | - | - |
Cash Flow
(Currency in GBX)Breakdown | 31-03-2023 | 26-03-2023 | 31-03-2022 | 27-03-2022 | 31-03-2021 |
---|---|---|---|---|---|
Investments | -325M | - | -759M | -70M | -286M |
Total Cashflows From Investing Activities | - | - | - | -759M | - |
Total Cash From Financing Activities | -392M | - | -832M | -832M | -944M |
Net Income | -676M | 0M | 662M | 612M | 726M |
Change In Cash | -328M | - | -436M | -436M | -67M |
Begin Period Cash Flow | 1137M | 1137M | 1573M | 1573M | 1640M |
End Period Cash Flow | 809M | 1137M | 1137M | 1573M | 1573M |
Total Cash From Operating Activities | 373M | - | 1160M | 1160M | 1173M |
Depreciation | 602M | 494M | 540M | 453M | 573M |
Other Cashflows From Investing Activities | - | - | - | 9M | - |
Dividends Paid | 127M | - | 366M | 167M | 244M |
Change To Inventory | -8M | - | -14M | -14M | -1M |
Sale Purchase Of Stock | -218M | - | -218M | - | -3M |
Other Cashflows From Financing Activities | -61M | -61M | -665M | -56M | -244M |
Capital Expenditures | 421M | 0M | 603M | 519M | 346M |
Change In Working Capital | -54M | - | -29M | - | 41M |
Other Non Cash Items | 478M | - | -6M | - | -91M |
Free Cash Flow | -48M | - | 557M | - | 827M |
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