CHIFFRES CLES - fermeture de la veilleCHIFFRES CLES - fermeture de la veille | (at previous day's close) |
Market Cap. | 5,946.72 | m |
Shares In Issue | 1,024.59 | m |
Prev. Close | 536.00 | |
PE Ratio | 170.71 | |
Taux de rendement des actions | - | % |
EPS - basic | 3.40 | p |
Dividend PS | - | p |
Dividend Cover | - | |
Cash Flow PA | 306.27 | p |
Rentabilité des capitaux propres (ROE) | 8.04 | % |
Excedent Brut D'exploitation | 7.84 | % |
PEG Factor | - | |
BNA Taux de croissance | - | % |
Dividendes PA Taux de Croissance | - | % |
Endettement Net | 1,098.90 | m |
Gearing Brut | 94.59 | % |
Avoirs liquides | 7,521.50 | m |
Fonds de roulement Nets | 474.90 | m |
Incorporels / Actifs immobilisés | 47.32 | % |
Turnover PS | 54.65 | p |
Pre-Tax Profit PS | 4.28 | p |
Retained Profit PS | 3.21 | p |
Cash pA | 591.10 | p |
Cash net PA | -96.65 | p |
Net Tangible Asset Value PS * | 37.96 | p |
Net Asset Value PS | 39.94 | p |
Écart de Taux | 1.20 (0.21%) | |
* Calculation based on Ordinary Capital figure as contained in last annual report, and the most recent shares in issue figure. Therefore the ratio might be exposed to inaccuracies. |
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Bilan (en résumé)
 Performance de l'actionPerformance de l'action | Sample Period † | High | + Bas | 1 sem. | 580.60 | 513.20 |
4 Semaines | 610.00 | 513.20 |
12 Semaines | 610.00 | 488.00 |
1 an | 731.80 | 285.00 |
 Performance de l'action - 5 dernieres annéesPerformance de l'action - 5 dernieres années |  |
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Wise Historic Returns%1$s Historic Returns | Période † | Ouverture | Chg à ce jour | % | Moy. Ouvert. | Vol moyen / jour [m] | Total Vol [m] | VWAP | 1 sem. | 580.60 | -0.20 | -0.03 | 513.20 | 2.04 | | 543.07 |
4 Semaines | 530.00 | 50.40 | 9.51 | 513.20 | 1.58 | | 565.78 |
12 Semaines | 584.60 | -4.20 | -0.72 | 488.00 | 1.62 | | 554.15 |
26 Semaines | 617.80 | -37.40 | -6.05 | 488.00 | 1.48 | | 572.51 |
1 an | 373.20 | 207.20 | 55.52 | 285.00 | 1.70 | | 535.24 |
3 Années | 800.00 | -219.60 | -27.45 | 285.00 | 1.88 | | 647.42 |
5 Années | 800.00 | -219.60 | -27.45 | 285.00 | 1.88 | | 647.42 |
† periods calculated are whole weeks rather than calendar months | |
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Wise Key Management Ratios
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Wise Investment Ratios%1$s Investment Ratios | (Market value analysis) at previous day's close |
PQ Ratio | 2.88 | |
PE Ratio | 170.71 | |
Tobin's Q Ratio | 0.79 | |
Tobin's Q Ratio (excl. intangibles) | 0.79 | |
Taux de rendement des actions | - | % |
Market-to-Book Ratio | 14.53 | |
Price-to-Pre-Tax Profit PS | 135.46 | |
Price-to-Retained Profit PS | 180.75 | |
Price-to-Cash Flow PS | 1.90 | |
Price-to-Sales PS | 10.62 | |
Price-to-Net Tangible Asset Value PS | 15.29 | |
Price-to-Cash PS | 0.98 | |
Net Working Capital PS | 46.35 | |
Price Pct to Working Capital PS | 12.52 | % |
Earnings Yield | 0.59 | % |
Average PE | 150.00 | |
Years in average | 1 | |
PE to PE average | 113.80 | % |
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Ratios FinanciersRatios Financiers | (Ratios de Levier) |
Ratio d'endettement | 20.97 | % |
Ratio Dettes/ Fond Propres | 0.27 | |
Ratio Dettes/ Fond Propres (excl Incorp) | 0.28 | |
Valeur du Marché - Dettes/ Fond Propres | 0.02 | |
Gearing Net | 14.53 | % |
Gearing Net (excl. Intangibles) | 14.57 | % |
Gearing Brut | 94.59 | % |
Gearing Brut (excl. Intangibles) | 94.84 | % |
Gearing moins d'un an | 93.15 | % |
Gearing moins d'un an (excl Intangibles) | 93.41 | % |
Actifs / Capitaux propres | 18.49 | |
Cash/Capitaux propres | 1,480.03 | |
(Liquidité ratios) |
Fonds de roulement Nets - Total Actifs | 6.28 | % |
Ratio de Liquidité Generale | 1.07 | |
Ratio de liquidité immédiate (Acid Test) | 1.07 | |
Ratio de Liquidité | 0.86 | |
Cash et Equiv/ Actifs circulants | 80.52 | % |
Solvabilité ratios |
Enterprise Value | -0.98 | m |
CFO/Sales | 5.60 | |
CFO/Attributable Profit | 95.38 | |
CFO/Actifs | 0.41 | |
CFO/Debt | 0.44 | |
Total Dettes/ capitaux propres Valeur du marché | 1.20 | |
Total Dettes/Ventes | 12.78 | |
Total Dettes/ Profit avant imposition | 162.99 | |
Total Debt | 7,155.20 | m |
Total Debt/Net Current Assets | 15.07 | % |
(Dodds - Graham Ratios) | | |
3 yr Compound Earnings Growth | - | % |
5 yr Compound Earnings Growth | - | % |
10 yr Compound Earnings Growth | - | % |
Earn drops > 5% in 10yrs | - | |
Beta coefficients | Beta (60 mois) | Beta (36mois) | -0.0980 | -0.0975 |
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Ratios OperationnelsRatios Operationnels | Ratio de Rentabilité) |
Rentabilité des capitaux investis | 8.48 | % |
Rentabilité Des Actifs (ROA) | 0.43 | % |
Marge Beneficiaire Nette | 5.88 | % |
Assets Turnover | 0.07 | |
Rentabilité des capitaux propres (ROE) | 8.04 | % |
Retour sur investissement | 6.35 | % |
Ratio de distribution des dividendes | - | % |
Plowback Ratio | 100.00 | % |
Growth from Plowback Ratio | 8.04 | % |
Net Income Of Revenues | 5.88 | % |
(Asset Utilisation Multiples) |
Chiffres d'affaires Fonds Propres | 1.37 | |
Fixed Assets Turnover | 13.05 | |
Current Assets Turnover | 0.07 | |
Chiffre d'affaires Fonds de roulement Nets | | |
Inventory Turnover | - | |
(Autres Ratios Operationnels) |
Total Assets-to-Sales | 13.51 | |
Debtors-to-Sales | 48.72 | % |
Debt Collection Period | 177.84 | Jours |
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Dividendes
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Wise Fondamentaux |
Profit and Loss Account | | 31 Mar 2022 (GBP) | |
turnover | 559.90 | 100.00% | m |
pre tax profit | 43.90 | 7.84% | m |
attributable profit | 32.90 | 5.88% | m |
retained profit | 32.90 | 5.88% | m |
eps - basic (p) | 3.40 | |  |
eps - diluted (p) | 3.18 | |  |
dividends per share | - | |  |
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Bilan (en résumé)Bilan (en résumé) | | 31 Mar 2022 (GBP) | |
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| 31 Mar 2022 (GBP) | |
ACTIFS | | |  |
Actifs immobilisés | 22.60 | 0.30% | m |
intangibles | 20.30 | 0.27% | m |
fixed investments | - | -% | m |
Actifs circulants - autres | 1,192.40 | 15.76% | m |
stocks | - | -% | m |
débiteurs | 272.80 | 3.61% | m |
cash & securities | 6,056.30 | 80.06% | m |
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TOTAL | 7,564.40 | 100% | m |
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PASSIF | | | |
creditors - short | 7,046.60 | 93.15% | m |
creditors - long | 108.60 | 1.44% | m |
creditors - other | - | -% | m |
subordinated loans | - | -% | m |
insurance funds | - | -% | m |
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TOTAL | 7,155.20 | 94.59% | m |
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FONDS PROPRES | | | |
ord cap, reserves | 409.20 | 5.41% | m |
prefs, minorities | - | -% | m |
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TOTAL | 409.20 | 5.41% | m |
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OTHER | | | |
NAV Basic | - | |  |
NAV Diluted | - | |  |
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Wise Cash Flow Statement%1$s Cash Flow Statement | | 31 Mar 2022 (GBP) | |
Operating CF | 3,138.00 | m |
Pre-Financing CF | 2,647.60 | m |
Retained CF | 2,646.30 | m |
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