(Q2)Jun 30, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q2)Jun 30, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | (Q2)Jun 30, 2022 | (FY)Dec 31, 2021 | (Q4)Dec 31, 2021 | (Q2)Jun 30, 2021 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 26.49%144.2M | -19.85%108.2M | -19.85%108.2M | -15.68%114M | 38.46%135M | 38.46%135M | -9.08%135.2M | -53.79%97.5M | -53.79%97.5M | 26.23%148.7M |
-Cash and cash equivalents | 26.27%141.8M | -19.92%106.5M | -19.92%106.5M | -15.69%112.3M | 40.59%133M | 40.59%133M | -8.52%133.2M | -54.50%94.6M | -54.50%94.6M | 27.61%145.6M |
-Short-term investments | 41.18%2.4M | -15.00%1.7M | -15.00%1.7M | -15.00%1.7M | -31.03%2M | -31.03%2M | -35.48%2M | -6.45%2.9M | -6.45%2.9M | -16.22%3.1M |
-Accounts receivable | 12.55%571.4M | 9.67%402.6M | 9.67%402.6M | 9.23%507.7M | 12.81%367.1M | 12.81%367.1M | 12.00%464.8M | 6.51%325.4M | 6.51%325.4M | 2.29%415M |
-Taxes receivable | 164.71%4.5M | 136.84%4.5M | 136.84%4.5M | -69.64%1.7M | -86.62%1.9M | -86.62%1.9M | -27.27%5.6M | 330.30%14.2M | 330.30%14.2M | 220.83%7.7M |
-Other receivables | ---- | 3.76%96.7M | 3.76%96.7M | ---- | 57.97%93.2M | 57.97%93.2M | ---- | -19.62%59M | -19.62%59M | ---- |
Inventory | 5.61%476.6M | 4.69%437.3M | 4.69%437.3M | 13.42%451.3M | 24.61%417.7M | 24.61%417.7M | 25.17%397.9M | 14.29%335.2M | 14.29%335.2M | -7.48%317.9M |
Prepaid assets | ---- | 4.24%24.6M | 4.24%24.6M | ---- | -20.27%23.6M | -20.27%23.6M | ---- | --29.6M | --29.6M | ---- |
Total current assets | 10.53%1.21B | 3.02%1.09B | 3.02%1.09B | 7.88%1.09B | 21.05%1.05B | 21.05%1.05B | 13.28%1.01B | -2.94%870.9M | -2.94%870.9M | 2.29%892.9M |
Non current assets | ||||||||||
Net PPE | -0.94%391.5M | -1.57%400M | -1.57%400M | 2.81%395.2M | 13.14%406.4M | 13.14%406.4M | 11.10%384.4M | 2.16%359.2M | 2.16%359.2M | -4.84%346M |
-Gross PPE | -0.94%391.5M | -0.82%1.06B | -0.82%1.06B | 2.81%395.2M | 9.47%1.07B | 9.47%1.07B | 11.10%384.4M | -1.09%979.5M | -1.09%979.5M | -4.84%346M |
-Accumulated depreciation | ---- | 0.36%-663.5M | 0.36%-663.5M | ---- | -7.35%-665.9M | -7.35%-665.9M | ---- | 2.88%-620.3M | 2.88%-620.3M | ---- |
Goodwill and other intangible assets | -4.65%925.4M | -5.56%957.7M | -5.56%957.7M | 9.62%970.5M | 32.03%1.01B | 32.03%1.01B | 55.04%885.3M | 28.06%768.1M | 28.06%768.1M | -11.86%571M |
-Goodwill | -2.42%664M | -2.45%680.3M | -2.45%680.3M | 5.31%680.5M | 30.70%697.4M | 30.70%697.4M | 48.04%646.2M | 18.71%533.6M | 18.71%533.6M | --436.5M |
-Other intangible assets | -9.86%261.4M | -12.41%277.4M | -12.41%277.4M | 21.29%290M | 35.05%316.7M | 35.05%316.7M | 77.77%239.1M | 56.02%234.5M | 56.02%234.5M | --134.5M |
Defined pension benefit | -54.69%2.9M | -94.04%1.7M | -94.04%1.7M | -94.81%6.4M | -77.91%28.5M | -77.91%28.5M | 19.84%123.2M | 86.69%129M | 86.69%129M | 12.60%102.8M |
Other non current assets | ---- | ---- | ---- | ---- | ---200K | ---200K | ---- | ---- | ---- | ---- |
Total non current assets | -3.84%1.34B | -6.18%1.38B | -6.18%1.38B | -2.44%1.4B | 13.69%1.48B | 13.69%1.48B | 35.55%1.43B | 22.42%1.3B | 22.42%1.3B | -7.27%1.06B |
Total assets | 2.46%2.55B | -2.35%2.47B | -2.35%2.47B | 1.83%2.49B | 16.65%2.53B | 16.65%2.53B | 25.35%2.44B | 10.79%2.17B | 10.79%2.17B | -3.12%1.95B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 9.47%572.4M | 2.80%403.6M | 2.80%403.6M | 5.70%522.9M | 6.22%392.6M | 6.22%392.6M | 5.80%494.7M | 2.41%369.6M | 2.41%369.6M | 2.72%467.6M |
-accounts payable | 8.94%504.6M | 1.06%152M | 1.06%152M | 7.90%463.2M | 25.02%150.4M | 25.02%150.4M | 5.07%429.3M | 6.93%120.3M | 6.93%120.3M | 4.50%408.6M |
-Total tax payable | 13.57%67.8M | 1.14%106.7M | 1.14%106.7M | -8.72%59.7M | 13.32%105.5M | 13.32%105.5M | 10.85%65.4M | 4.96%93.1M | 4.96%93.1M | -8.10%59M |
-Other payable | ---- | 6.00%144.9M | 6.00%144.9M | ---- | -12.48%136.7M | -12.48%136.7M | ---- | -2.19%156.2M | -2.19%156.2M | ---- |
Current provisions | -16.54%21.7M | 5.51%28.7M | 5.51%28.7M | -25.71%26M | -28.61%27.2M | -28.61%27.2M | 28.68%35M | -13.21%38.1M | -13.21%38.1M | -3.20%27.2M |
Current debt and capital lease obligation | 10.02%283.4M | -48.57%138.7M | -48.57%138.7M | 18.33%257.6M | 24.23%269.7M | 24.23%269.7M | 247.76%217.7M | 117.54%217.1M | 117.54%217.1M | -27.96%62.6M |
-Current debt | 11.88%259.9M | -53.46%113.5M | -53.46%113.5M | 19.99%232.3M | 26.24%243.9M | 26.24%243.9M | 408.14%193.6M | 162.86%193.2M | 162.86%193.2M | -37.44%38.1M |
-Current capital lease obligation | -7.11%23.5M | -2.33%25.2M | -2.33%25.2M | 4.98%25.3M | 7.95%25.8M | 7.95%25.8M | -1.63%24.1M | -9.13%23.9M | -9.13%23.9M | -5.77%24.5M |
Current liabilities | 8.49%885.9M | -11.90%721.6M | -11.90%721.6M | 7.32%816.6M | 12.53%819.1M | 12.53%819.1M | 35.75%760.9M | 24.09%727.9M | 24.09%727.9M | -2.61%560.5M |
Non current liabilities | ||||||||||
Long term provisions | -29.09%11.7M | -15.03%13M | -15.03%13M | -2.37%16.5M | -16.39%15.3M | -16.39%15.3M | 14.19%16.9M | 21.19%18.3M | 21.19%18.3M | -0.67%14.8M |
Long term debt and capital lease obligation | -25.97%463.9M | -10.20%606.4M | -10.20%606.4M | -7.28%626.6M | 34.98%675.3M | 34.98%675.3M | 60.33%675.8M | 17.91%500.3M | 17.91%500.3M | -5.75%421.5M |
-Long term debt | -28.23%396M | -10.75%531.4M | -10.75%531.4M | -9.33%551.8M | 38.37%595.4M | 38.37%595.4M | 72.70%608.6M | 18.77%430.3M | 18.77%430.3M | -7.87%352.4M |
-Long term capital lease obligation | -9.22%67.9M | -6.13%75M | -6.13%75M | 11.31%74.8M | 14.14%79.9M | 14.14%79.9M | -2.75%67.2M | 12.90%70M | 12.90%70M | 6.80%69.1M |
Total non current liabilities | -24.18%570.5M | -10.74%718.6M | -10.74%718.6M | -8.26%752.4M | 21.65%805.1M | 21.65%805.1M | 45.64%820.1M | 15.82%661.8M | 15.82%661.8M | -5.90%563.1M |
Total liabilities | -7.18%1.46B | -11.33%1.44B | -11.33%1.44B | -0.76%1.57B | 16.87%1.62B | 16.87%1.62B | 40.71%1.58B | 20.01%1.39B | 20.01%1.39B | -4.28%1.12B |
Shareholders'equity | ||||||||||
Share capital | 0.00%78.6M | 0.00%78.6M | 0.00%78.6M | 0.00%78.6M | 0.00%78.6M | 0.00%78.6M | -2.72%78.6M | -3.91%78.6M | -3.91%78.6M | -1.22%80.8M |
-common stock | 0.00%78.6M | 0.00%78.6M | 0.00%78.6M | 0.00%78.6M | 0.00%78.6M | 0.00%78.6M | -2.72%78.6M | -3.91%78.6M | -3.91%78.6M | -1.22%80.8M |
Retained earnings | 29.31%829.8M | 26.61%746M | 26.61%746M | 17.57%641.7M | 18.41%589.2M | 18.41%589.2M | -0.18%545.8M | -1.74%497.6M | -1.74%497.6M | 3.44%546.8M |
Paid-in capital | 3.03%17M | 3.66%17M | 3.66%17M | -91.45%16.5M | 7.89%16.4M | 7.89%16.4M | 1.58%192.9M | 6.29%15.2M | 6.29%15.2M | 1,237.32%189.9M |
Total stockholders'equity | 18.91%1.09B | 13.76%1.03B | 13.76%1.03B | 6.58%919.8M | 16.24%905.6M | 16.24%905.6M | 4.47%863M | -2.55%779.1M | -2.55%779.1M | -1.49%826.1M |
Total equity | 18.91%1.09B | 13.76%1.03B | 13.76%1.03B | 6.58%919.8M | 16.24%905.6M | 16.24%905.6M | 4.47%863M | -2.55%779.1M | -2.55%779.1M | -1.49%826.1M |
Currency Unit | GBP | GBP | GBP | GBP | GBP | GBP | GBP | GBP | GBP | GBP |
Accounting Standards | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP |
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