M&G revenue was £15.22 b in FY, 2020 which is a 52.6% year over year decrease from the previous period.
GBP | FY, 2019 | FY, 2020 |
---|---|---|
Revenue | 32.1b | 15.2b |
Revenue growth, % | (53%) | |
Cost of goods sold | 24.4b | 12.7b |
Gross profit | 7.8b | 2.5b |
Gross profit Margin, % | 24% | 17% |
General and administrative expense | 2.8b | 2.6b |
Operating expense total | 2.9b | 2.7b |
Depreciation and amortization | 108.0m | 128.0m |
Pre tax profit | 1.7b | 1.6b |
Income tax expense | 680.0m | 463.0m |
Net Income | 1.1b | 1.1b |
EPS | 43.0 | 44.0 |
GBP | H1, 2020 | H1, 2021 |
---|---|---|
Revenue | 1.5b | 9.2b |
Cost of goods sold | 1.4b | 6.8b |
Gross profit | 101.0m | 2.4b |
Gross profit Margin, % | 7% | 26% |
General and administrative expense | 1.1b | 1.3b |
Operating expense total | 1.2b | 1.4b |
Depreciation and amortization | 60.0m | 67.0m |
Pre tax profit | 1.0b | 74.0m |
Income tax expense | 161.0m | 322.0m |
Net Income | 826.0m | (248.0m) |
EPS | 31.8 | (9.8) |
GBP | FY, 2019 | FY, 2020 |
---|---|---|
Cash | 6.0b | 6.8b |
PP&E | 1.5b | 2.1b |
Goodwill | 1.4b | 1.4b |
Total Assets | 226.2b | 228.7b |
Short-term debt | 32.0m | 22.0m |
Long-term debt | 328.0m | 332.0m |
Total Debt | 360.0m | 354.0m |
Total Liabilities | 221.1b | |
Common Stock | 130.0m | 130.0m |
Additional Paid-in Capital | 370.0m | 370.0m |
Retained Earnings | 16.3b | 16.9b |
Total Equity | 5.1b | 5.6b |
Debt to Equity Ratio | 0.1 x | 0.1 x |
Debt to Assets Ratio | 0 x | 0 x |
Financial Leverage | 44.1 x | 41 x |
GBP | H1, 2020 | H1, 2021 |
---|---|---|
Cash | 5.8b | 6.1b |
PP&E | 1.7b | 2.3b |
Total Assets | 222.6b | 231.2b |
Total Debt | 361.0m | 427.0m |
Total Liabilities | 217.1b | |
Common Stock | 130.0m | 130.0m |
Additional Paid-in Capital | 370.0m | 370.0m |
Retained Earnings | 16.7b | 16.4b |
Total Equity | 5.5b | 5.1b |
Debt to Equity Ratio | 0.1 x | 0.1 x |
Debt to Assets Ratio | 0 x | 0 x |
Financial Leverage | 40.2 x | 45.4 x |
GBP | H1, 2020 | H1, 2021 |
---|---|---|
Cash From Operating Activities | 467.0m | (51.0m) |
Purchases of PP&E | (220.0m) | (452.0m) |
Cash From Investing Activities | (244.0m) | (218.0m) |
Long-term Borrowings | (22.0m) | |
Dividends Paid | (410.0m) | (310.0m) |
Cash From Financing Activities | (528.0m) | (425.0m) |
Net Change in Cash | (305.0m) | (694.0m) |
Interest Paid | 95.0m | 93.0m |
GBP | FY, 2019 |
---|---|
Revenue/Employee | 10.0m |
Debt/Equity | 0.1 x |
Financial Leverage | 44.1 x |
FY, 2020 | FY, 2019 | |
---|---|---|
Male, percent | 18.3% | 18.3% |
Female, percent | 15% | 15% |
Male (Senior Management), percent | 23% | 23.3% |
Female (Senior Management), percent | 10.3% | 10% |
Male (Board), percent | 16.7% | 14.3% |
Female (Board), percent | 16.7% | 19% |