One Media iP Group PLC (OMIP)

Industry Entertainment

This stock can be held in an Investment ISA, SIPP and Investment Account
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3.50p

Buy

4.00p

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One Media iP Group PLC is a B2B and B2C digital content provider, exploiting intellectual property rights around music and video. It also licenses its music content for use in TV and film, advertising, video games and corporate websites.
Prices updated at 01 May 2025, 11:52 BST
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Prices in GBX

Income statement

20162017201820192020202120222023
2m2m3m4m4m4m5m5m
905,7011m1m2m2m3m3m3m
28,959297,416523,697736,417954,4661m914,743460,500
-12.7219.3820.9923.8324.2217.848.59
62,871266,772405,016458,444630,197544,575463,061142,927
242,326535,862778,7641m1m2m2m1m
Sales, General and administrative876,742725,553738,168873,513919,2501m2m2m
Interest expenses--37,201189,322223,384184,045384,416139,996
Provision for income taxes-32,85230,82981,48888,778103,846176,222126,442184,597
Operating expenses876,742758,311853,2291m2m2m2m3m
Income before taxes30,019297,601486,504547,222734,043720,797564,692289,508
Net income available to common shareholders62,871266,772405,016458,444630,197544,575463,061142,927
0.00090.00380.00440.00340.00420.00240.0020.0005
Net interest income1,060185-37,193-189,195-223,376-184,044-384,416-139,996
Advertising and promotion--------
Net investment income, net----2,953-64,55434,365-30,996
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)0.00080.00350.0040.00260.00330.0020.00160.0004
Free cash flow per share-0.0053-0.00380.0028-0.0002-0.03090.0013-0.01690.0019
Book value/share0.04930.04170.03210.0560.0380.06560.06840.0685
Debt equity ratio--0.215210.2018560.1191410.1182840.0988410.073605

Balance sheet

20162017201820192020202120222023
Current assets799,238861,8556m2m8m4m4m3m
Current liabilities762,948526,016584,7981m940,5071m1m2m
Total capital3m4m9m10m16m17m17m16m
Total debt--2m2m2m2m2m2m
Total equity3m4m7m8m14m15m15m15m
Total non current liabilities--------
Loans--2m2m2m2m2m1m
Total assets4m4m10m11m17m18m18m19m
Total liabilities--------
Cash and cash equivalents335,664383,0516m860,6117m3m2m1m
Common stock71m71m136m136m222m222m222m222m

Cash flow

20162017201820192020202120222023
Cash at beginning of period816,249335,664383,0516m860,6117m3m2m
Cash dividends paid-100,896----74,582-122,345-122,345-122,345
-380,74947,202413,737-5m423,728-4m-188,966-309,580
Investments (gains) losses-281,552-238,058-218,009-6m-609,028-5m-2m-2m
335,664383,0516m860,6117m3m2m1m
Net income--------
-98,137285,445631,7541m1m1m2m2m
-282,612-238,243-218,017-6m-609,036-5m-2m-2m
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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