Jet2 PLC Ordinary Shares (JET2)

Industry Travel Services

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

1,240.00p

Buy

1,243.00p

arrow-up2.00p (+0.16%)

Dart Group PLC is engaged providing leisure airline services, package holidays and distribution & logistics services. The Company's operating business segments are Leisure Travel, and Distribution & Logistics.
Prices updated at 01 Apr 2025, 16:35 BST
| Prices minimum 15 mins delay
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Prices in GBX

Income statement

20172018201920202021202220232024
1,729m2,380m2,964m3,585m395m1,232m5,034m6,255m
246m308m420m503m-265m-148m708m841m
103m126m205m293m-336m-324m394m428m
5.965.306.908.17-85.00-26.307.836.85
77m107m140m116m-271m-315m291m399m
182m263m381m410m-163m-172m621m849m
Sales, General and administrative------210m264m
Interest expenses5m21m42m44m41m59m65m71m
Provision for income taxes13m23m30m36m-70m-73m80m130m
Operating expenses143m182m216m210m71m176m314m413m
Income before taxes90m130m167m148m-370m-389m371m530m
Net income available to common shareholders77m107m140m116m-271m-315m291m399m
0.78591.41271.0198-1.4937-1.7050.9512.0052.342
Net interest income-2m-16m-31m-29m-38m-53m-6m89m
Advertising and promotion--------
Net investment income, net-11m20m-9m-8m4m-13m-20m9m
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)0.78171.40921.0188-1.4937-1.7050.81.8332.126
Free cash flow per share-0.82120.8631.7969-5.1603-0.47325.1682.70782.9948
Book value/share3.8725.79585.87034.19964.29886.01967.45438.3183
Debt equity ratio0.906121.6645421.8311131.5420280.9631821.5178451.1332480.908368

Balance sheet

20172018201920202021202220232024
Current assets1,473m2,012m1,646m1,865m1,537m2,609m2,992m3,673m
Current liabilities1,397m1,794m1,330m1,629m858m1,682m2,257m2,703m
Total capital679m817m935m1,015m1,398m1,754m1,616m2,120m
Total debt521m807m983m1,158m1,318m1,570m1,375m1,455m
Total equity431m529m595m634m964m897m1,012m1,409m
Total non current liabilities--------
Loans248m288m340m381m434m857m603m711m
Total assets2,295m3,126m2,942m3,383m2,873m3,994m4,526m5,570m
Total liabilities--------
Cash and cash equivalents489m788m1,224m1,347m1,371m1,047m953m1,439m
Common stock148m149m149m149m215m215m215m215m

Cash flow

20172018201920202021202220232024
Cash at beginning of period342m489m788m1,224m1,400m1,379m1,048m955m
Cash dividends paid-7m-8m-13m-15m---6m-26m
-143m4m139m205m-872m643m756m686m
Investments (gains) losses-604m-431m-129m-186m41m-1,288m-676m-482m
489m788m1,224m1,400m1,379m1,048m955m1,440m
Net income--------
331m415m441m443m-835m751m952m1,094m
-474m-411m-302m-238m-37m-108m-197m-408m
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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