Land Securities Group PLC (LAND)

Industry REIT - Diversified

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

561.50p

Buy

562.00p

arrow-up2.50p (+0.45%)

Land Securities Group PLC operates as a real estate investment trust. It owns, develops and manages offices, shopping centres and retail parks in the UK through two business divisions, namely the Retail Portfolio and the London Portfolio.
Prices updated at 14 Mar 2025, 19:13 GMT
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Prices in GBX

Income statement

20172018201920202021202220232024
787m830m757m741m635m679m791m824m
603m592m580m573m497m463m519m500m
522m509m500m500m416m391m433m426m
66.3361.3366.0567.4865.5157.5854.7451.70
113m-44m-119m-832m-1,393m869m-619m-319m
268m85m-23m-737m-1,313m965m-527m-231m
Sales, General and administrative-----80m80m73m
Interest expenses154m126m99m96m75m85m87m104m
Provision for income taxes-1m1m-4m-5m----
Operating expenses81m83m80m73m81m72m86m74m
Income before taxes112m-43m-123m-837m-1,393m875m-622m-341m
Net income available to common shareholders113m-44m-119m-832m-1,393m869m-619m-319m
0.230533-0.312-0.416-2.056-0.3820.545-0.8230.142
Net interest income-314m-549m-82m-139m-63m-76m-76m-92m
Advertising and promotion--------
Net investment income, net-167m-97m-441m-1,006m-1,440m523m-971m-644m
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)0.230533-0.312-0.416-2.056-0.3830.543-0.8230.141
Free cash flow per share0.46050.65230.5780.40620.03510.07680.31030.1584
Book value/share14.65113.825412.954110.659810.005710.20728.95878.7121
Debt equity ratio0.2209970.2751780.2869960.4977140.3618970.5067580.46010.438144

Balance sheet

20172018201920202021202220232024
Current assets591m572m524m1,859m406m668m532m574m
Current liabilities713m1,180m1,225m1,249m1,165m872m645m1,353m
Total capital14,030m13,213m12,737m13,044m9,761m11,806m10,124m9,132m
Total debt2,949m3,624m3,781m5,332m3,516m4,553m3,538m3,780m
Total equity11,516m10,492m9,920m8,750m7,212m7,917m7,005m6,402m
Total non current liabilities--------
Loans2,514m2,721m2,817m4,294m2,549m3,889m3,119m2,730m
Total assets14,844m14,469m14,034m14,360m10,990m12,895m10,966m10,664m
Total liabilities--------
Cash and cash equivalents30m62m14m1,345m-128m41m78m
Common stock741m741m741m741m741m745m742m745m

Cash flow

20172018201920202021202220232024
Cash at beginning of period25m30m62m14m1,345m-146m41m
Cash dividends paid-289m-789m-338m-342m-127m-190m-289m-291m
386m445m424m401m15m37m240m212m
Investments (gains) losses83m358m-166m-116m334m-603m834m-272m
30m62m14m1,345m-128m41m78m
Net income--------
386m445m424m401m233m381m342m338m
-----218m-344m-102m-126m
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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