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Rathbones Group PLC (RTBBF)
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Rathbones Group PLC (RTBBF) Financial Statements

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Rathbones Group PLC Financial Overview

Rathbones Group PLC's market cap is currently $2.78B. The company's EPS TTM is $0.9957706490399999; its P/E ratio is 17.89; and it has a dividend yield of 4.62%. Rathbones Group PLC is scheduled to report earnings on February 27, 2026, and the estimated EPS forecast is $―. See an overview of income statement, balance sheet, and cash flow financials.
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Income Statement
Total Revenue£ 1.03B£ 895.90M£ 676.20M£ 511.38M£ 468.82M
Gross Profit£ 862.00M£ 828.50M£ 646.50M£ 426.21M£ 435.20M
Operating Income£ 265.90M£ 188.10M£ 107.40M£ 82.75M£ 108.77M
EBITDA£ 293.20M£ 268.50M£ 149.90M£ 117.79M£ 126.31M
Net Income£ 112.30M£ 65.50M£ 37.50M£ 49.00M£ 75.23M
Balance Sheet
Cash & Short-Term Investments£ 1.50B£ 1.17B£ 1.20M£ 1.48B£ 1.53B
Total Assets£ 5.22B£ 4.29B£ 4.22B£ 3.47B£ 3.29B
Total Debt£ 198.10M£ 88.50M£ 127.20M£ 91.41M£ 97.08M
Net Debt£ -1.31B£ -1.29B£ -911.10M£ -1.32B£ -1.37B
Total Liabilities£ 3.87B£ 2.93B£ 2.87B£ 2.84B£ 2.67B
Stockholders' Equity£ 1.35B£ 1.36B£ 1.35B£ 634.83M£ 623.28M
Cash Flow
Free Cash Flow£ 187.40M£ 237.00M£ -100.10M£ 84.17M£ 41.03M
Operating Cash Flow£ 196.20M£ 293.60M£ -89.40M£ 97.30M£ 53.73M
Investing Cash Flow£ -670.20M£ -38.00M£ -79.90M£ -293.71M£ -244.44M
Financing Cash Flow£ 783.50M£ -99.30M£ -100.50M£ 115.53M£ -212.39M
Currency in GBP

Rathbones Group PLC Earnings and Revenue History

Rathbones Group PLC Debt to Assets

Rathbones Group PLC Cash Flow

Rathbones Group PLC Forecast EPS vs Actual EPS