LSE:CPP - CPP Group PLC CPPGroup Plc
Sector: Industrials, Industry: Diversified Support Services
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Balance Sheet Cash Flow Income Statement Key Ratios
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2007 Q4 2008 Q4 2009 Q4 2010 Q2 2010 Q4 2011 Q2 2011 Q4 2012 Q2 2012 Q4 2013 Q2 2013 Q4 2014 Q2 2014 Q4 2015 Q2 2015 Q4 2016 Q2 2016 Q4 2017 Q2 2017 Q4 2018 Q2 2018 Q4 2019 Q2 2019 Q4 2020 Q2 2020 Q4 2021 Q2 2021 Q4 2022 Q2 2022 Q4 2023 Q2 2023 Q4 Graph
Insider Holdings (%) [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 46.63%
-0.9%
46.58%
-0.1%
46.44%
-0.3%
44.45%
-4.3%
43.95%
-1.1%
44.43%
1.1%
Net Margin [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 0.08%
-
1.79%
2038.8%
1.16%
-35.1%
0.31%
-73.4%
-2.71%
-
-4.48%
-
Gross Margin [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 24.59%
-6.1%
22.92%
-6.8%
21.24%
-7.3%
18.12%
-14.7%
16.38%
-9.6%
16.03%
-2.1%
Operating Margin [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 1.75%
-30.7%
2.15%
22.7%
2.97%
38.0%
1.54%
-48.1%
-1.36%
-
-3.32%
-
Total Revenue [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 147.24M
4.3%
143.62M
-2.5%
155.72M
8.4%
169.78M
9.0%
186.03M
9.6%
193.04M
3.8%
Total Assets [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 49.05M
-14.1%
53.96M
10.0%
52.91M
-1.9%
59.66M
12.8%
51.44M
-13.8%
54.2M
5.4%
Total Liabilities [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 34.51M
-16.6%
38.59M
11.8%
38.81M
0.6%
45.18M
16.4%
42.18M
-6.6%
46.69M
10.7%
Total Equity [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 13.21M
-9.7%
13.82M
4.7%
12.28M
-11.2%
12.67M
3.2%
7.29M
-42.5%
5.26M
-27.8%
Operating CashFlow [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 5.14M
62.5%
4.56M
-11.2%
4.54M
-0.5%
3.82M
-15.8%
1.72M
-55.0%
3.61M
109.9%
Beginning Cash Position [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 18.24M
-16.9%
21.86M
19.8%
19.59M
-10.4%
22.41M
14.4%
19.32M
-13.8%
20.98M
8.6%
End Cash Position [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 20.7M
-5.3%
22.41M
8.2%
18.88M
-15.8%
20.98M
11.2%
16.76M
-20.1%
19M
13.4%
Free Cash Flow [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 3.55M
154.1%
2.67M
-24.9%
2.18M
-18.2%
1.1M
-49.5%
-1.45M
-
-276K
-
Net Income (Cont Operations) [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 418K
-
3.01M
619.6%
2.19M
-27.3%
777K
-64.5%
-4.75M
-
-8.1M
-
Diluted Net Income [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 123K
-
2.56M
1985.4%
1.81M
-29.6%
523K
-71.0%
-5.03M
-
-8.65M
-
Diluted EPS [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 0.014
-
0.284
1975.2%
0.198
-30.5%
0.059
-70.1%
-0.569
-
-0.978
-
Return On Equity (%) [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 0.87%
-
- 14.17%
-
- -51.45%
-
-
Return On Assets (%) [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 0.22%
-
- 3.54%
-
- -9.65%
-
-
Values are in GBP whenever applicable | Fiscal year ends on December 31
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