Sainsbury (J) PLC (SBRY)

Industry Grocery Stores

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

278.00p

Buy

278.20p

arrow-up2.00p (+0.72%)

Sainsbury (J) PLC operates Sainsbury supermarkets in the United Kingdom. It also operates convenience stores, an Internet-based home delivery service, and Sainsbury Bank.
Prices updated at 16 May 2025, 17:39 BST
| Prices minimum 15 mins delay
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Prices in GBX

Income statement

20182019202020212022202320242025
28,456m29,007m28,993m29,048m29,895m31,491m32,238m32,812m
1,882m2,288m2,016m1,845m2,366m2,004m2,090m2,221m
518m601m650m156m1,156m562m802m943m
1.822.072.240.543.871.782.492.87
309m186m152m-201m677m207m137m242m
1,275m1,882m1,901m1,436m2,395m1,844m1,985m2,186m
Sales, General and administrative1,415m1,725m1,459m1,702m1,430m1,515m1,333m1,325m
Interest expenses135m418m390m351m321m309m336m350m
Provision for income taxes100m16m103m37m177m120m181m201m
Operating expenses1,364m1,687m1,366m1,689m1,210m1,442m1,288m1,278m
Income before taxes409m202m255m-164m854m327m489m621m
Net income available to common shareholders291m168m129m-201m677m207m137m242m
0.1130.018-0.0030.1260.2530.0330.0250.104
Net interest income-126m-422m-366m-330m-304m-236m-255m-283m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)0.1080.017-0.0030.1190.2480.0320.0240.102
Free cash flow per share0.27330.05110.48790.48240.41250.13630.24260.2127
Book value/share3.36483.57293.23123.03323.38113.04972.86412.8879
Debt equity ratio0.2413980.7892570.8358360.9040440.8075510.7664410.8691030.894001

Balance sheet

20182019202020212022202320242025
Current assets7,866m7,589m7,586m7,073m6,750m7,901m7,581m8,449m
Current liabilities10,302m11,417m12,047m11,717m9,868m11,614m11,452m11,417m
Total capital8,916m9,459m9,021m7,352m9,130m7,856m7,998m7,693m
Total debt2,365m2,057m7,171m6,840m7,382m7,145m6,549m6,608m
Total equity7,411m8,456m7,773m6,604m8,423m7,253m6,868m6,651m
Total non current liabilities--------
Loans1,505m1,003m1,248m748m707m603m1,130m1,042m
Total assets22,001m23,541m27,937m25,162m26,912m26,158m25,061m24,648m
Total liabilities--------
Cash and cash equivalents1,730m1,121m973m1,457m807m1,291m1,987m2,777m
Common stock2,190m2,203m2,213m2,225m2,333m2,345m2,369m2,309m

Cash flow

20182019202020212022202320242025
Cash at beginning of period1,077m1,728m1,120m994m1,476m818m1,319m1,987m
Cash dividends paid-212m-224m-247m-232m-238m-319m-306m-308m
664m24m720m1,741m312m1,431m400m505m
Investments (gains) losses-470m-474m-426m-553m-649m-724m-1,015m-787m
1,728m1,120m994m1,476m818m1,319m1,987m2,776m
Net income--------
1,365m618m1,372m2,343m1,009m2,185m1,965m1,364m
-701m-594m-652m-602m-697m-754m-1,565m-859m
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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