Fiscal year is March-February.
All values GBP Millions.
2022 2021 2020 2019 2018 5-year trend
INCOME STATEMENT
Sales/Revenue 61,344 57,887 58,091 63,911 57,493
Sales Growth 5.97% -0.35% -9.11% 11.16% -
Cost of Goods Sold (COGS) incl. D&A 56,650 54,028 53,680 59,403 54,092
COGS Growth 4.85% 0.65% -9.63% 9.82% -
Gross Income 4,694 3,859 4,411 4,508 3,401
Gross Income Growth 21.64% -12.51% -2.15% 32.55% -
Gross Profit Margin 7.65% - - - -
SG&A Expense 1,984 1,767 1,736 1,979 1,765
SGA Growth 12.28% 1.79% -12.28% 12.12% -
EBIT 2,710 - - - -
Interest Expense 652 695 722 847 400
Interest Expense Growth -6.19% -3.74% -14.76% 111.75% -
Pretax Income 2,018 610 1,036 1,585 1,306
Pretax Income Growth 230.82% -41.12% -34.64% 21.36% -
Pretax Margin 3.29% - - - -
Net Income 1,521 528 736 1,272 992
Net Income Growth 188.07% -28.26% -42.14% 28.23% -
Net Margin 2.48% - - - -
CASH FLOW STATEMENT
Net Income before Extraordinaries 2,560 1,547 (150) 2,649 1,839
Net Income Growth 65.48% 1131.33% -105.66% 44.05% -
Funds from Operations 3,430 394 3,651 3,262 2,268
Net Operating Cash Flow 3,792 640 108 2,614 2,858
Net Operating Cash Flow Growth 492.50% 492.59% -95.87% -8.54% -
Net Operating Cash Flow / Sales 6.18% 1.11% 0.19% 4.09% 4.97%
Capital Expenditures (1,178) (1,377) (1,204) (1,292) (1,637)
Capital Expenditures Growth 14.45% -14.37% 6.81% 21.08% -
Capital Expenditures / Sales -1.92% -2.38% -2.07% -2.02% -2.85%
Free Cash Flow 2,843 (531) (895) 1,513 1,418
Free Cash Flow Growth 635.40% 40.67% -159.15% 6.70% -
Free Cash Flow Yield 9.52% - - - -
Cash Dividends Paid - Total (731) (5,858) (656) (357) (82)
BALANCE SHEET
Cash & Short Term Investments 4,647 3,699 5,415 3,373 5,156
Cash & Short Term Investments Growth 25.63% -31.69% 60.54% -34.58% -
Cash & ST Investments / Total Assets 9.42% 8.13% 10.19% 5.93% 11.49%
ST Debt & Current Portion LT Debt 1,272 1,655 2,817 2,209 1,479
Long-Term Debt 14,085 14,015 14,973 15,439 7,142
Total Accounts Receivable 4,705 4,397 5,697 6,438 6,153
Accounts Receivable Growth 7.00% -22.82% -11.51% 4.63% -
Accounts Receivable Turnover 13.04 13.17 10.20 9.93 9.34
Inventories 2,339 2,069 2,433 2,617 2,264
Accounts Payable 9,181 8,399 8,922 9,131 8,994
Accounts Payable Growth 9.31% -5.86% -2.29% 1.52% -
Total Current Assets 12,189 10,807 13,608 12,480 13,600
Total Current Liabilities 16,125 15,721 18,656 20,973 19,233
Current Ratio 0.76 0.69 0.73 0.60 0.71
Quick Ratio 0.61 0.56 0.60 0.47 0.59
Cash Ratio 0.29 0.24 0.29 0.16 0.27
Net Property, Plant & Equipment 22,780 22,896 26,108 26,899 18,521
Total Assets 49,351 45,512 53,147 56,898 44,884
Assets - Total - Growth 8.44% -14.37% -6.59% 26.77% -
Asset Turnover 1.29 - - - -
Return On Average Assets 3.20% - - - -
Total Liabilities 33,707 33,453 39,778 43,466 34,404
Total Liabilities / Total Assets 68.30% 73.50% 74.85% 76.39% 76.65%
Common Equity (Total) 15,660 12,077 13,391 13,456 10,502
Retained Earnings 10,022 6,329 7,168 7,121 4,290
Treasury Stock (365) (188) (250) (179) (16)
Common Equity / Total Assets 31.73% 26.54% 25.20% 23.65% 23.40%
Total Shareholders' Equity 15,660 12,077 13,391 13,456 10,502
Total Shareholders' Equity / Total Assets 31.73% 26.54% 25.20% 23.65% 23.40%
Accumulated Minority Interest (16) (18) (22) (24) (22)
Total Equity 15,644 12,059 13,369 13,432 10,480
Liabilities & Shareholders' Equity 49,351 45,512 53,147 56,898 44,884
Tesco PLC
Past Five Years
Ending 02/28/2022 (Fiscal Year)
Revenue
+1.34%
Net Income
+10.73%
Earnings Per Share
+0.51%
Capital Spending
-5.61%
Gross Margin
+9.55%
Cash Flow
+20.10%
KEY STOCK DATA
P/E Ratio (TTM)
18.00(12/16/22)
EPS (TTM)
£0.12
Market Cap
£16.28 B
Shares Outstanding
7.37 B
Public Float
7.16 B
Yield
5.20%(12/16/22)
Latest Dividend
p3.84999998(11/25/22)
Ex-Dividend Date
10/13/22
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