Next Plc owns and operates retail stores. The company is headquartered in Leicester, Leicestershire and currently employs 32,931 full-time employees. The Company’s segments include NEXT Online, NEXT Finance, NEXT Retail, Total Platform, and Other Business Activities. The NEXT Online segment includes NEXT Online (UK) and NEXT Online (International). Its Total Platform brands include Reiss, FatFace and Joules. Other Business Activities (all other segments) which include the Property Management segment which holds property and property leases. The Company’s subsidiaries include Agratech Limited, Bridgetown Holdco Limited, Lipsy Limited, Next Beauty Limited, Next Brand Limited, Next Distribution Limited, Next Holdings Limited, Next Manufacturing Limited, Next Near East Limited, Next Properties Limited, Next Retail Limited, The Next Directory Limited, and Project Norwich Limited.
Chiffres en millions de dollars américains. L'exercice financier va de février à janvier.
Breakdown
TTM
01/25/2025
01/27/2024
01/28/2023
01/29/2022
01/30/2021
Revenus
6,402
6,118
5,491
5,034
4,625
3,534
Croissance des revenus (H/H)
10%
11%
9%
9%
31%
-17%
Coût des ventes
3,590
3,456
3,034
2,827
2,625
2,231
Bénéfice brut
2,812
2,661
2,456
2,206
2,000
1,302
Vente, Général et Administration
1,657
1,568
1,487
1,262
1,102
857
Recherche et développement
--
--
--
--
--
--
Frais d'exploitation
1,657
1,568
1,487
1,262
1,100
858
Autres revenus (charges) non opérationnels
0
0
4
5
3
0
Bénéfice avant impôts
1,063
987
1,015
869
823
342
Charge d'impôt sur le revenu
263
243
215
158
145
55
Bénéfice net
792
736
802
711
677
286
Croissance du bénéfice net
-2%
-8%
13%
5%
137%
-53%
Actions en circulation (diluées)
119.5
121.6
122.4
124.7
129.3
129.2
Variation des actions (H-H)
-2%
-1%
-2%
-4%
0%
-1%
EPS (dilué)
6.63
6.05
6.55
5.7
5.23
2.21
Croissance du EPS
1%
-8%
15%
9%
136%
-53%
Flux de trésorerie libre
1,102
1,016
908
550
709
661
Flux de trésorerie libre par action
--
--
--
--
--
--
Marge brute
43.92%
43.49%
44.72%
43.82%
43.24%
36.84%
Marge opérationnelle
18.02%
17.84%
17.62%
18.73%
19.45%
12.56%
Marge bénéficiaire
12.37%
12.03%
14.6%
14.12%
14.63%
8.09%
Marge du flux de trésorerie libre
17.21%
16.6%
16.53%
10.92%
15.32%
18.7%
EBITDA
1,470
1,403
1,214
1,108
1,107
777
Marge EBITDA
22.96%
22.93%
22.1%
22.01%
23.93%
21.98%
D&A pour le résultat opérationnel
316
311
246
165
207
333
EBIT
1,154
1,092
968
943
900
444
Marge EBIT
18.02%
17.84%
17.62%
18.73%
19.45%
12.56%
Taux d'imposition effectif
24.74%
24.62%
21.18%
18.18%
17.61%
16.08%
Follow-Up Questions
NEXT plc'in temel mali tabloları nelerdir?
Son mali tabloya (Form-10K) göre, NEXT plc'in toplam varlıkları $4,872 olup, net bénéfice $736'dir.
NXGPY'ün temel finansal oranları nelerdir?
NEXT plc'in cari oranı 1.5, net kâr marjı 12.03, hisse başına satış $50.31'dir.
NEXT plc'in geliri segment veya coğrafya bazında nasıl dağılıyor?
Le segment de revenus le plus important est NEXT plc, avec un chiffre d'affaires de NEXT Online lors du dernier rapport de résultats. En termes géographiques, United Kingdom est le marché principal pour NEXT plc, avec un chiffre d'affaires de 4,995,000,000.
NEXT plc kârlı mı?
oui, son mali tablolara göre NEXT plc'in net bénéfice $736'dir.
NEXT plc'in herhangi bir yükümlülüğü var mı?
oui, NEXT plc'in yükümlülüğü 3,236'dir.
NEXT plc'in tedavüldeki hisse sayısı kaçtır?
NEXT plc'in toplam tedavüldeki hisse sayısı 123.64'dir.