LSE:TPFG - The Property Franchise Group PLC Property Franchise Group PLC
Sector: Real Estate, Industry: Real Estate Services
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Annual TTM
Balance Sheet Cash Flow Income Statement Key Ratios
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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] 46.09%
-14.9%
37.25%
-19.2%
37.69%
1.2%
33.69%
-10.6%
26.98%
-19.9%
-
Net Margin [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] - - - - - -
Gross Margin [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] - - - - - -
Operating Margin [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] - - - - - -
Total Revenue [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 11.12M
89.0%
12.92M
16.2%
13.09M
1.3%
14.07M
7.5%
13.18M
-6.3%
14.1M
6.9%
Total Assets [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 60.86M
141.6%
60.37M
-0.8%
59.95M
-0.7%
57.81M
-3.6%
54.52M
-5.7%
57.68M
5.8%
Total Liabilities [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 28M
505.5%
27.01M
-3.5%
25.21M
-6.7%
20.63M
-18.2%
16.29M
-21.0%
16.87M
3.5%
Total Equity [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 32.82M
59.6%
33.35M
1.6%
34.72M
4.1%
37.16M
7.0%
38.2M
2.8%
40.81M
6.8%
Operating CashFlow [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 4.43M
36.6%
4.51M
1.8%
3.31M
-26.6%
5.66M
70.9%
2.45M
-56.7%
6.57M
168.2%
Beginning Cash Position [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 8.77M
43.2%
7.11M
-19.0%
8.41M
18.4%
7.58M
-9.9%
6.68M
-11.8%
3.22M
-51.8%
End Cash Position [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 7.11M
-19.0%
8.41M
18.4%
7.58M
-9.9%
6.68M
-11.8%
3.22M
-51.8%
7.64M
137.0%
Free Cash Flow [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 4.39M
36.8%
4.3M
-2.1%
2.81M
-34.5%
5.63M
100.4%
2.28M
-59.6%
6.31M
177.3%
Net Income (Cont Operations) [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 3.48M
24.6%
3.1M
-11.0%
3.79M
22.4%
5.04M
33.0%
4.2M
-16.8%
4.82M
14.8%
Diluted Net Income [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 954K
-55.3%
2.52M
163.6%
3.17M
26.0%
4.06M
28.1%
3.31M
-18.4%
4.08M
23.1%
Diluted EPS [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] 0.033
-59.8%
0.08
142.4%
0.099
23.8%
0.126
27.3%
0.103
-18.3%
0.117
13.6%
Return On Equity (%) [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] - - - - - -
Return On Assets (%) [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] [friend] - - - - - -
Values are in GBP whenever applicable | Fiscal year ends on December 31
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