Computacenter PLC (CCC)

Industry Information Technology Services

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

2,436.00p

Buy

2,446.00p

arrow-down-28.00p (-1.13%)

Computacenter PLC, through its subsidiaries, is engaged in supply, implementation, support and management of information technology systems. The company has operations in the United Kingdom, Germany and France.
Prices updated at 03 Apr 2025, 17:43 BST
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Prices in GBX

Income statement

20162017201820192020202120222023
3,245m3,793m4,353m5,053m5,441m5,035m6,471m6,923m
428m496m549m663m721m868m947m1,044m
86m107m109m147m199m256m256m261m
-2.822.512.913.665.083.963.77
64m81m81m102m154m185m183m198m
118m141m145m221m297m346m350m363m
Sales, General and administrative342m389m439m516m522m612m691m783m
Interest expenses2m938,0002m7m6m8m10m10m
Provision for income taxes23m30m27m39m52m62m65m73m
Operating expenses342m389m439m516m522m612m691m783m
Income before taxes87m112m108m141m207m248m249m272m
Net income available to common shareholders64m81m81m102m154m185m183m198m
0.5290.6730.7140.9031.3621.641.6211.75
Net interest income50,000583,000-1m-6m-6m-7m-7m3m
Advertising and promotion--------
Net investment income, net-4m------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)0.5230.6650.7010.891.3381.6091.5911.732
Free cash flow per share0.59230.46670.43340.52011.86841.40181.76712.7276
Book value/share3.07943.65483.58814.05825.00996.02357.31468.0839
Debt equity ratio-0.0238580.295970.286120.1776040.1617830.1187480.090793

Balance sheet

20162017201820192020202120222023
Current assets1,081m1,282m1,655m1,516m1,857m2,165m2,694m2,492m
Current liabilities805m941m1,351m1,258m1,586m1,784m2,247m1,972m
Total capital428m497m575m553m644m757m878m949m
Total debt4m15m143m198m259m190m158m128m
Total equity428m489m448m493m628m741m866m942m
Total non current liabilities--------
Loans-8m127m61m16m17m13m7m
Total assets1,241m1,450m1,959m1,917m2,402m2,714m3,280m3,058m
Total liabilities--------
Cash and cash equivalents119m207m200m218m310m285m275m471m
Common stock123m123m114m114m114m114m114m113m

Cash flow

20162017201820192020202120222023
Cash at beginning of period112m119m207m200m218m310m273m264m
Cash dividends paid-27m-27m-31m-36m-14m-62m-80m-77m
46m66m64m163m209m194m207m376m
Investments (gains) losses-36m834,000-106m-31m-55m-25m-60m-39m
119m207m200m218m310m273m264m471m
Net income--------
68m106m115m202m237m224m242m411m
-23m-40m-51m-39m-28m-30m-35m-35m
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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