Taylor Wimpey PLC (TW.)

Industry Residential Construction

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

118.10p

Buy

118.20p

arrow-up1.60p (+1.37%)

Taylor Wimpey PLC is a residential developer. It offers homes from apartments to five bedroom houses. It provides housing in United Kingdom and Spain.
Prices updated at 16 May 2025, 17:42 BST
| Prices minimum 15 mins delay
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Prices in GBX

Income statement

20162017201820192020202120222023
3,676m3,965m4,082m4,341m2,790m4,285m4,420m3,515m
940m1,032m1,075m1,044m497m1,027m1,132m717m
763m707m845m843m292m698m828m468m
-17.8220.7019.4110.4816.2918.7213.31
589m555m657m674m217m556m644m349m
769m718m849m880m310m721m867m512m
Sales, General and administrative189m202m213m212m207m211m221m233m
Interest expenses33m33m25m31m29m26m24m25m
Provision for income taxes144m127m154m162m47m124m184m125m
Operating expenses177m325m230m202m204m329m305m249m
Income before taxes733m682m811m836m264m680m828m474m
Net income available to common shareholders589m555m657m674m217m556m644m349m
0.1810.170.2010.2060.0630.1530.1810.099
Net interest income-32m-32m-22m-28m-26m-23m-15m4m
Advertising and promotion--------
Net investment income, net2m-100,000-1m-1m400,000-800,000--500,000
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)0.1790.1690.20.2060.0620.1520.180.099
Free cash flow per share0.10310.21910.17590.12680.02290.15130.05570.0897
Book value/share0.79240.84810.90010.91611.03011.13471.21031.276
Debt equity ratio-0.0282730.0338730.0317430.0278080.02420.0043760.026087

Balance sheet

20162017201820192020202120222023
Current assets4,526m4,799m5,058m4,987m5,547m6,036m6,313m6,059m
Current liabilities1,078m1,170m1,200m1,123m1,011m1,035m1,341m1,128m
Total capital2,985m3,226m3,317m3,393m4,107m4,398m4,502m4,610m
Total debt86m89m118m113m132m111m116m127m
Total equity2,900m3,137m3,227m3,308m4,017m4,314m4,502m4,523m
Total non current liabilities--------
Loans86m89m90m85m90m84m-87m
Total assets4,745m4,966m5,254m5,176m5,749m6,240m6,483m6,254m
Total liabilities--------
Cash and cash equivalents450m601m734m630m823m921m952m765m
Common stock3,270m3,275m3,278m3,283m3,645m3,649m3,532m3,534m

Cash flow

20162017201820192020202120222023
Cash at beginning of period323m450m601m734m630m823m921m952m
Cash dividends paid-356m-450m-499m-600m--301m-324m-338m
533m598m639m497m-309m427m475m123m
Investments (gains) losses-26m5m9m-9m-24m-10m34m27m
450m601m734m630m823m921m952m765m
Net income--------
538m604m641m510m-301m432m478m130m
-5m-6m-2m-13m-8m-5m-2m-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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