BT Group PLC (BT.A)

Industry Telecom Services

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

180.25p

Buy

180.35p

arrow-up0.95p (+0.53%)

BT Group PLC is a provider of telecommunications networks and services. It sells fixed-voice, broadband, mobile and TV products and services to consumers in the UK.
Prices updated at 06 Jun 2025, 11:58 BST
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Prices in GBX

Income statement

20172018201920202021202220232024
24,062m23,723m23,428m22,905m21,331m20,850m20,681m20,797m
15,449m15,538m15,388m15,717m14,698m15,511m15,168m15,207m
4,115m3,968m3,815m3,821m3,179m3,315m3,346m3,435m
17.1016.7316.2816.6814.9015.9016.1816.52
1,908m2,032m2,159m1,734m1,472m1,274m1,905m855m
6,746m6,871m6,960m7,547m6,883m7,226m7,474m7,735m
Sales, General and administrative365m317m322m303m255m940m952m1,003m
Interest expenses820m741m748m898m732m858m927m1,151m
Provision for income taxes446m584m507m619m332m689m-176m331m
Operating expenses11,334m11,570m11,573m11,896m11,519m12,196m11,822m11,772m
Income before taxes2,354m2,616m2,666m2,353m1,804m1,963m1,729m1,186m
Net income available to common shareholders1,908m2,032m2,159m1,734m1,472m1,274m1,905m855m
0.170.2290.220.1530.1060.1760.1890.079
Net interest income-807m-729m-714m-854m-720m-854m-851m-970m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)0.170.2270.2180.1520.1030.1710.1840.079
Free cash flow per share0.236-0.03390.16760.26140.07630.11060.11230.1681
Book value/share0.79521.10131.04081.21671.21741.61051.39831.2803
Debt equity ratio1.2094781.2101711.4533291.5064691.8148811.3256411.46811.703147

Balance sheet

20172018201920202021202220232024
Current assets6,875m8,349m10,444m11,992m10,400m8,908m9,457m8,719m
Current liabilities10,925m10,185m9,602m10,986m9,006m9,046m10,392m9,818m
Total capital18,202m22,093m24,753m31,255m27,453m30,608m31,263m29,649m
Total debt12,713m14,275m16,876m25,894m22,837m21,945m23,880m23,481m
Total equity8,335m10,304m10,167m14,763m11,679m15,296m14,514m12,518m
Total non current liabilities--------
Loans9,867m11,789m14,586m16,492m15,774m15,312m16,749m17,131m
Total assets42,372m42,759m46,287m53,067m50,877m49,774m52,752m51,739m
Total liabilities--------
Cash and cash equivalents485m496m1,622m1,507m962m753m261m343m
Common stock9,960m9,922m9,923m9,882m9,908m9,833m9,738m9,780m

Cash flow

20172018201920202021202220232024
Cash at beginning of period459m511m499m1,594m1,409m896m692m381m
Cash dividends paid-1,435m-1,523m-1,504m-1,520m-2m-228m-751m-759m
3,029m1,565m578m2,166m1,060m1,303m1,417m984m
Investments (gains) losses-1,658m-4,833m-3,800m-5,650m-3,240m-3,560m-6,396m-3,542m
511m499m1,594m1,409m896m692m381m356m
Net income--------
6,174m4,927m4,256m6,271m5,963m5,910m6,724m5,953m
-3,145m-3,362m-3,678m-4,105m-4,903m-4,607m-5,307m-4,969m
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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