Great Portland Estates PLC (GPE)

Industry REIT - Office

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

326.00p

Buy

327.50p

arrow-down-0.50p (-0.15%)

Great Portland Estates PLC operates as a real estate investment trust. The Company invests and develops freehold and leasehold properties in London.
Prices updated at 05 Jun 2025, 19:18 BST
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Prices in GBX

Income statement

20182019202020212022202320242025
386m111m103m89m84m91m95m94m
97m62m75m64m54m59m62m59m
73m37m46m31m15m20m20m19m
18.9133.4844.3934.8017.3421.7120.6520.17
70m50m52m-202m167m-164m-308m116m
89m65m60m-193m177m-151m-289m132m
Sales, General and administrative4m6m7m6m9m10m10m9m
Interest expenses11m8m7m8m9m12m18m13m
Provision for income taxes6m7m-200,000-100,000-500,000-100,000-2m
Operating expenses24m25m29m33m39m39m42m40m
Income before taxes77m56m52m-202m167m-164m-308m118m
Net income available to common shareholders70m50m52m-202m167m-164m-308m116m
0.2040020.187661-0.4807770.0498210.059786-1.084446-0.0955450.302
Net interest income-1m200,000800,000200,000-2m-5m-12m-6m
Advertising and promotion--------
Net investment income, net36m7m-53m-157m108m-145m-267m83m
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)0.1883910.187661-0.4807770.0498210.058955-1.084446-0.0955450.301
Free cash flow per share0.5630.14340.05380.06070.0203-0.0501-0.0143-0.0143
Book value/share7.10177.34046.6296.59176.56815.40634.76444.7821
Debt equity ratio0.1001310.1457770.2223230.270440.2790.2747840.4046110.467336

Balance sheet

20182019202020212022202320242025
Current assets386m156m112m31m21m35m66m58m
Current liabilities514m50m60m55m55m57m252m88m
Total capital2,563m2,606m2,647m2,460m2,644m2,377m2,148m2,849m
Total debt388m337m490m533m590m527m816m935m
Total equity2,367m2,310m2,203m1,972m2,113m1,919m1,583m2,001m
Total non current liabilities--------
Loans196m296m444m489m531m459m565m848m
Total assets3,120m2,697m2,753m2,560m2,758m2,506m2,478m3,029m
Total liabilities--------
Cash and cash equivalents351m139m95m11m-3m6m18m
Common stock339m327m306m306m306m306m305m403m

Cash flow

20182019202020212022202320242025
Cash at beginning of period26m351m139m95m11m17m19m23m
Cash dividends paid-144m-33m-33m-32m-33m-32m-33m-32m
239m27m39m16m6m-2m-8m-5m
Investments (gains) losses466m223m-68m-110m-24m113m-232m-385m
351m139m95m11m-19m23m37m
Net income--------
240m27m39m17m7m-2m-8m-4m
-400,000-100,000-100,000-400,000-300,000-200,000-100,000-600,000
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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