Barratt Redrow PLC (BTRW)

Industry Residential Construction

This stock can be held in an Investment ISA, SIPP and Investment Account
Sell

461.70p

Buy

462.20p

arrow-up8.70p (+1.91%)

Barratt Developments PLC is engaged in acquiring and developing land, planning, designing and constructing residential property developments and selling the homes it builds throughout Britain.
Prices updated at 15 May 2025, 18:08 BST
| Prices minimum 15 mins delay
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Prices in GBX

Income statement

20172018201920202021202220232024
4,650m4,875m4,763m3,419m4,812m5,268m5,321m4,168m
932m1,009m1,084m614m1,010m900m975m510m
799m863m901m493m811m647m707m175m
17.1917.7018.9214.4316.8612.2713.294.19
616m672m740m400m660m515m530m114m
817m887m947m545m859m692m767m256m
Sales, General and administrative133m-186m125m204m256m271m337m
Interest expenses47m47m33m33m26m26m33m52m
Provision for income taxes149m164m170m89m152m127m175m56m
Operating expenses133m146m183m121m199m253m268m335m
Income before taxes765m836m910m492m812m642m705m171m
Net income available to common shareholders616m672m740m400m660m515m530m114m
0.6250.7210.7430.3990.6510.5380.2260.105
Net interest income-48m-45m-29m-30m-27m-28m-11m-6m
Advertising and promotion--------
Net investment income, net-2m-800,000------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)0.6190.7140.7330.3950.640.530.2250.103
Free cash flow per share0.3790.49690.3457-0.1251.0430.37480.43870.0902
Book value/share4.25994.52574.77484.75195.33095.65165.77313.7852
Debt equity ratio0.0003250.0416320.0411340.0487920.0421570.0402450.0416550.042177

Balance sheet

20172018201920202021202220232024
Current assets5,478m5,726m6,007m5,734m6,344m6,891m6,720m6,577m
Current liabilities1,684m1,548m1,687m1,466m1,486m1,708m1,454m1,447m
Total capital4,315m4,781m5,062m5,039m5,651m5,831m5,796m5,639m
Total debt74m191m200m366m246m254m250m243m
Total equity4,313m4,590m4,862m4,839m5,451m5,631m5,596m5,439m
Total non current liabilities--------
Loans1m191m200m200m200m200m200m200m
Total assets6,612m6,929m7,188m6,864m7,474m8,211m8,004m7,875m
Total liabilities--------
Cash and cash equivalents784m982m958m620m1,519m1,353m1,269m1,065m
Common stock1,008m1,013m1,017m1,018m1,018m1,023m975m967m

Cash flow

20172018201920202021202220232024
Cash at beginning of period758m784m982m1,136m620m1,519m1,335m1,266m
Cash dividends paid-322m-435m-452m-373m-76m-337m-360m-271m
385m507m354m-128m1,075m388m442m89m
Investments (gains) losses66m-10m82m61m14m-222m55m12m
784m982m958m620m1,519m1,335m1,266m1,065m
Net income--------
389m514m361m-121m1,082m418m466m96m
-4m-7m-7m-7m-7m-30m-23m-7m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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