Kingfisher PLC (KGF)

Industry Home Improvement Retail

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

251.60p

Buy

251.90p

arrow-up0.90p (+0.36%)

Kingfisher PLC is one of the largest home-improvement retail groups. The company operates more than 1,000 stores across Europe and Asia and retails brands such as B&Q, Screwfix, Castorama, Brico Depot, and Koctas.
Prices updated at 22 Sep 2025, 17:00 BST
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Prices in GBX

Income statement

20182019202020212022202320242025
11,655m11,685m11,513m12,343m13,183m13,059m12,980m12,784m
4,303m4,318m4,255m4,573m4,935m4,795m4,776m4,763m
658m714m667m921m1,139m718m581m422m
5.656.115.797.468.645.504.483.30
485m193m8m592m843m471m345m185m
954m1,027m845m1,472m1,710m1,322m1,249m1,095m
Sales, General and administrative3,645m3,599m3,562m3,652m3,822m4,103m4,220m4,336m
Interest expenses18m192m197m180m148m129m133m132m
Provision for income taxes197m107m95m164m164m140m130m122m
Operating expenses3,645m3,604m3,588m3,652m3,796m4,077m4,195m4,341m
Income before taxes682m300m103m756m1,007m611m475m307m
Net income available to common shareholders485m193m8m592m843m471m345m185m
0.1850.0880.0740.3940.3250.1760.1860.101
Net interest income-3m-176m-180m-160m-137m-112m-105m-100m
Advertising and promotion--------
Net investment income, net--4m------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)0.1840.0870.0730.3910.3190.1740.1840.099
Free cash flow per share-0.03840.11880.65260.47530.08310.32620.55390.5249
Book value/share-------3.648
Debt equity ratio0.3969340.3995770.3988280.3185210.2996460.3306320.3184430.294294

Balance sheet

20182019202020212022202320242025
Current assets3,522m3,372m3,186m3,957m3,948m3,762m3,696m3,658m
Current liabilities3,050m2,632m2,833m3,183m3,116m2,899m2,862m2,927m
Total capital6,752m6,796m5,895m6,573m6,780m6,765m6,706m6,345m
Total debt176m176m2,663m2,524m2,392m2,562m2,476m2,320m
Total equity6,748m6,657m5,802m6,571m6,778m6,663m6,604m6,344m
Total non current liabilities--------
Loans4m139m93m2m2m102m102m1m
Total assets10,347m10,000m11,312m12,269m12,352m12,103m11,900m11,443m
Total liabilities--------
Cash and cash equivalents230m229m162m1,093m785m235m319m297m
Common stock2,161m2,110m2,110m2,111m2,066m1,940m1,864m1,782m

Cash flow

20182019202020212022202320242025
Cash at beginning of period795m230m229m195m1,136m809m270m353m
Cash dividends paid-231m-231m-227m--254m-246m-237m-228m
-75m310m552m1,367m770m364m954m980m
Investments (gains) losses-363m-278m-138m-207m-385m-432m-339m-316m
230m229m195m1,136m809m270m353m336m
Net income--------
293m649m897m1,650m1,178m820m1,321m1,302m
-368m-339m-345m-283m-408m-456m-367m-322m
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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