US Stock MarketDetailed Quotes

NGGTF NATIONAL GRID

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  • 11.390
  • +0.290+2.61%
15min DelayClose Dec 20 16:00 ET
55.65BMarket Cap21.33P/E (TTM)

NATIONAL GRID Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Sep 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q2)Sep 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q2)Sep 30, 2022
(FY)Mar 31, 2022
(Q4)Mar 31, 2022
(Q2)Sep 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
280.96%7.27B
55.51%4.25B
55.51%4.25B
-35.25%1.91B
-18.11%2.73B
-18.11%2.73B
6.94%2.95B
34.10%3.34B
34.10%3.34B
86.21%2.75B
-Cash and cash equivalents
395.59%1.13B
334.92%548M
334.92%548M
-12.36%227M
-33.68%126M
-33.68%126M
-44.42%259M
31.03%190M
31.03%190M
184.15%466M
-Short-term investments
265.48%6.14B
42.00%3.7B
42.00%3.7B
-37.45%1.68B
-17.17%2.61B
-17.17%2.61B
17.40%2.69B
34.29%3.15B
34.29%3.15B
73.99%2.29B
-Accounts receivable
-20.33%2.66B
-3.17%2.5B
-3.17%2.5B
-9.36%3.34B
-2.93%2.58B
-2.93%2.58B
25.04%3.69B
23.65%2.66B
23.65%2.66B
107.39%2.95B
-Taxes receivable
5.56%19M
-74.42%11M
-74.42%11M
-86.05%18M
-59.43%43M
-59.43%43M
59.26%129M
58.21%106M
58.21%106M
-25.69%81M
-Other receivables
----
-38.34%529M
-38.34%529M
----
37.28%858M
37.28%858M
----
64.47%625M
64.47%625M
----
Inventory
-31.36%639M
-1.35%730M
-1.35%730M
-4.12%931M
88.30%740M
88.30%740M
88.18%971M
13.26%393M
13.26%393M
2.99%516M
Prepaid assets
----
-1.03%385M
-1.03%385M
----
-9.32%389M
-9.32%389M
----
10.85%429M
10.85%429M
----
Restricted cash
----
-70.27%11M
-70.27%11M
----
164.29%37M
164.29%37M
----
16.67%14M
16.67%14M
----
Other current assets
----
-27.94%98M
-27.94%98M
----
15.25%136M
15.25%136M
----
28.26%118M
28.26%118M
----
Total current assets
87.87%14.46B
13.89%10.38B
13.89%10.38B
-46.53%7.7B
-49.27%9.11B
-49.27%9.11B
-12.70%14.4B
80.75%17.96B
80.75%17.96B
240.37%16.49B
Non current assets
Net PPE
2.67%69.2B
6.94%68.91B
6.94%68.91B
2.98%67.4B
12.00%64.43B
12.00%64.43B
19.65%65.45B
22.30%57.53B
22.30%57.53B
11.28%54.7B
-Gross PPE
----
6.50%87.13B
6.50%87.13B
----
11.55%81.81B
11.55%81.81B
----
11.03%73.34B
11.03%73.34B
-0.41%69.64B
-Accumulated depreciation
----
-4.87%-18.23B
-4.87%-18.23B
----
-9.94%-17.38B
-9.94%-17.38B
----
16.84%-15.81B
16.84%-15.81B
28.08%-14.94B
Goodwill and other intangible assets
-6.33%12.76B
-2.16%13.16B
-2.16%13.16B
-2.13%13.62B
5.05%13.45B
5.05%13.45B
9.75%13.92B
112.30%12.8B
112.30%12.8B
70.76%12.68B
-Goodwill
-5.43%9.37B
-1.20%9.73B
-1.20%9.73B
-4.59%9.91B
3.30%9.85B
3.30%9.85B
10.18%10.38B
107.76%9.53B
107.76%9.53B
57.00%9.42B
-Other intangible assets
-8.72%3.39B
-4.80%3.43B
-4.80%3.43B
5.12%3.72B
10.15%3.6B
10.15%3.6B
8.50%3.54B
126.75%3.27B
126.75%3.27B
128.70%3.26B
Financial assets
27.08%413M
17.39%324M
17.39%324M
-49.53%325M
-9.51%276M
-9.51%276M
51.17%644M
-43.73%305M
-43.73%305M
-63.37%426M
Non current prepaid assets
----
214.52%390M
214.52%390M
----
--124M
--124M
----
--0
--0
----
Defined pension benefit
5.36%2.48B
-9.00%2.41B
-9.00%2.41B
-31.69%2.35B
-31.92%2.65B
-31.92%2.65B
35.44%3.44B
122.38%3.89B
122.38%3.89B
107.00%2.54B
Other non current assets
49.12%850M
----
----
5.75%570M
----
----
97.44%539M
----
----
-15.22%273M
Total non current assets
0.97%87.39B
5.22%87.95B
5.22%87.95B
0.43%86.55B
8.70%83.58B
8.70%83.58B
18.95%86.18B
34.25%76.9B
34.25%76.9B
18.90%72.45B
Total assets
8.07%101.85B
6.07%98.33B
6.07%98.33B
-6.29%94.25B
-2.28%92.7B
-2.28%92.7B
13.08%100.57B
41.13%94.86B
41.13%94.86B
35.22%88.94B
Liabilities
Current liabilities
Payables
-11.63%4.15B
-19.00%3.97B
-19.00%3.97B
3.87%4.7B
9.87%4.9B
9.87%4.9B
19.98%4.52B
29.73%4.46B
29.73%4.46B
11.58%3.77B
-accounts payable
-11.11%3.97B
-14.25%2.79B
-14.25%2.79B
0.68%4.47B
4.37%3.25B
4.37%3.25B
19.35%4.44B
43.79%3.11B
43.79%3.11B
11.86%3.72B
-Total tax payable
-21.65%181M
-53.78%220M
-53.78%220M
168.60%231M
53.55%476M
53.55%476M
65.38%86M
44.19%310M
44.19%310M
-5.45%52M
-Other payable
----
-18.04%963M
-18.04%963M
----
13.31%1.18B
13.31%1.18B
----
-1.98%1.04B
-1.98%1.04B
----
Current provisions
-13.02%314M
3.47%298M
3.47%298M
10.74%361M
20.00%288M
20.00%288M
29.37%326M
-7.69%240M
-7.69%240M
-31.34%252M
Current debt and capital lease obligation
0.45%2.7B
64.43%4.86B
64.43%4.86B
-70.77%2.69B
-75.62%2.96B
-75.62%2.96B
-14.31%9.21B
224.35%12.12B
224.35%12.12B
401.82%10.74B
-Current debt
----
65.97%4.75B
65.97%4.75B
----
-76.20%2.86B
-76.20%2.86B
----
230.24%12.01B
230.24%12.01B
----
-Current capital lease obligation
----
18.75%114M
18.75%114M
----
-10.28%96M
-10.28%96M
----
8.08%107M
8.08%107M
----
Current liabilities
8.54%8.99B
24.74%11.39B
24.74%11.39B
-59.01%8.28B
-63.14%9.13B
-63.14%9.13B
-15.58%20.2B
164.41%24.77B
164.41%24.77B
290.28%23.93B
Non current liabilities
Long term provisions
9.90%2.67B
19.41%2.81B
19.41%2.81B
-10.68%2.43B
2.39%2.35B
2.39%2.35B
32.25%2.72B
16.88%2.3B
16.88%2.3B
-4.20%2.05B
Long term debt and capital lease obligation
0.87%42.47B
5.45%42.21B
5.45%42.21B
6.90%42.11B
20.05%40.03B
20.05%40.03B
18.81%39.39B
21.33%33.34B
21.33%33.34B
10.94%33.15B
-Long term debt
----
5.42%41.55B
5.42%41.55B
----
19.82%39.41B
19.82%39.41B
----
22.29%32.89B
22.29%32.89B
----
-Long term capital lease obligation
----
7.61%665M
7.61%665M
----
37.03%618M
37.03%618M
----
-23.04%451M
-23.04%451M
----
Derivative product liabilities
-23.48%854M
-15.13%909M
-15.13%909M
-5.02%1.12B
23.25%1.07B
23.25%1.07B
94.21%1.18B
15.25%869M
15.25%869M
-8.75%605M
Other non current liabilities
-15.54%848M
----
----
8.89%1B
----
----
4.77%922M
-61.11%7M
-61.11%7M
2.92%880M
Total non current liabilities
0.91%57B
5.63%57.04B
5.63%57.04B
3.81%56.49B
16.81%54.01B
16.81%54.01B
22.64%54.42B
21.71%46.23B
21.71%46.23B
7.43%44.37B
Total liabilities
1.88%65.99B
8.39%68.43B
8.39%68.43B
-13.20%64.77B
-11.08%63.14B
-11.08%63.14B
9.25%74.62B
49.94%71B
49.94%71B
43.99%68.3B
Shareholders'equity
Share capital
30.27%637M
1.02%493M
1.02%493M
0.62%489M
0.62%488M
0.62%488M
0.83%486M
2.32%485M
2.32%485M
2.34%482M
-common stock
30.27%637M
1.02%493M
1.02%493M
0.62%489M
0.62%488M
0.62%488M
0.83%486M
2.32%485M
2.32%485M
2.34%482M
Retained earnings
23.74%38.67B
1.45%32.07B
1.45%32.07B
19.21%31.25B
18.78%31.61B
18.78%31.61B
10.91%26.22B
14.89%26.61B
14.89%26.61B
13.26%23.64B
Paid-in capital
-0.92%1.29B
1.15%1.32B
1.15%1.32B
-0.23%1.3B
-1.29%1.3B
-1.29%1.3B
1.24%1.3B
0.30%1.32B
0.30%1.32B
-0.92%1.29B
Other equity interest
-32.64%-4.76B
----
----
-72.85%-3.59B
---3.86B
---3.86B
56.67%-2.07B
----
----
-10.84%-4.79B
Total stockholders'equity
21.68%35.84B
1.11%29.87B
1.11%29.87B
13.59%29.46B
23.94%29.54B
23.94%29.54B
25.76%25.93B
20.13%23.83B
20.13%23.83B
12.55%20.62B
Noncontrolling interests
0.00%25M
4.17%25M
4.17%25M
-3.85%25M
4.35%24M
4.35%24M
23.81%26M
9.52%23M
9.52%23M
-4.55%21M
Total equity
21.66%35.87B
1.12%29.89B
1.12%29.89B
13.57%29.48B
23.92%29.56B
23.92%29.56B
25.75%25.96B
20.12%23.86B
20.12%23.86B
12.53%20.64B
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
Audit Opinions
--
--
--
--
Unqualified Opinion
--
--
--
--
--
(Q2)Sep 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q2)Sep 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q2)Sep 30, 2022(FY)Mar 31, 2022(Q4)Mar 31, 2022(Q2)Sep 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 280.96%7.27B55.51%4.25B55.51%4.25B-35.25%1.91B-18.11%2.73B-18.11%2.73B6.94%2.95B34.10%3.34B34.10%3.34B86.21%2.75B
-Cash and cash equivalents 395.59%1.13B334.92%548M334.92%548M-12.36%227M-33.68%126M-33.68%126M-44.42%259M31.03%190M31.03%190M184.15%466M
-Short-term investments 265.48%6.14B42.00%3.7B42.00%3.7B-37.45%1.68B-17.17%2.61B-17.17%2.61B17.40%2.69B34.29%3.15B34.29%3.15B73.99%2.29B
-Accounts receivable -20.33%2.66B-3.17%2.5B-3.17%2.5B-9.36%3.34B-2.93%2.58B-2.93%2.58B25.04%3.69B23.65%2.66B23.65%2.66B107.39%2.95B
-Taxes receivable 5.56%19M-74.42%11M-74.42%11M-86.05%18M-59.43%43M-59.43%43M59.26%129M58.21%106M58.21%106M-25.69%81M
-Other receivables -----38.34%529M-38.34%529M----37.28%858M37.28%858M----64.47%625M64.47%625M----
Inventory -31.36%639M-1.35%730M-1.35%730M-4.12%931M88.30%740M88.30%740M88.18%971M13.26%393M13.26%393M2.99%516M
Prepaid assets -----1.03%385M-1.03%385M-----9.32%389M-9.32%389M----10.85%429M10.85%429M----
Restricted cash -----70.27%11M-70.27%11M----164.29%37M164.29%37M----16.67%14M16.67%14M----
Other current assets -----27.94%98M-27.94%98M----15.25%136M15.25%136M----28.26%118M28.26%118M----
Total current assets 87.87%14.46B13.89%10.38B13.89%10.38B-46.53%7.7B-49.27%9.11B-49.27%9.11B-12.70%14.4B80.75%17.96B80.75%17.96B240.37%16.49B
Non current assets
Net PPE 2.67%69.2B6.94%68.91B6.94%68.91B2.98%67.4B12.00%64.43B12.00%64.43B19.65%65.45B22.30%57.53B22.30%57.53B11.28%54.7B
-Gross PPE ----6.50%87.13B6.50%87.13B----11.55%81.81B11.55%81.81B----11.03%73.34B11.03%73.34B-0.41%69.64B
-Accumulated depreciation -----4.87%-18.23B-4.87%-18.23B-----9.94%-17.38B-9.94%-17.38B----16.84%-15.81B16.84%-15.81B28.08%-14.94B
Goodwill and other intangible assets -6.33%12.76B-2.16%13.16B-2.16%13.16B-2.13%13.62B5.05%13.45B5.05%13.45B9.75%13.92B112.30%12.8B112.30%12.8B70.76%12.68B
-Goodwill -5.43%9.37B-1.20%9.73B-1.20%9.73B-4.59%9.91B3.30%9.85B3.30%9.85B10.18%10.38B107.76%9.53B107.76%9.53B57.00%9.42B
-Other intangible assets -8.72%3.39B-4.80%3.43B-4.80%3.43B5.12%3.72B10.15%3.6B10.15%3.6B8.50%3.54B126.75%3.27B126.75%3.27B128.70%3.26B
Financial assets 27.08%413M17.39%324M17.39%324M-49.53%325M-9.51%276M-9.51%276M51.17%644M-43.73%305M-43.73%305M-63.37%426M
Non current prepaid assets ----214.52%390M214.52%390M------124M--124M------0--0----
Defined pension benefit 5.36%2.48B-9.00%2.41B-9.00%2.41B-31.69%2.35B-31.92%2.65B-31.92%2.65B35.44%3.44B122.38%3.89B122.38%3.89B107.00%2.54B
Other non current assets 49.12%850M--------5.75%570M--------97.44%539M---------15.22%273M
Total non current assets 0.97%87.39B5.22%87.95B5.22%87.95B0.43%86.55B8.70%83.58B8.70%83.58B18.95%86.18B34.25%76.9B34.25%76.9B18.90%72.45B
Total assets 8.07%101.85B6.07%98.33B6.07%98.33B-6.29%94.25B-2.28%92.7B-2.28%92.7B13.08%100.57B41.13%94.86B41.13%94.86B35.22%88.94B
Liabilities
Current liabilities
Payables -11.63%4.15B-19.00%3.97B-19.00%3.97B3.87%4.7B9.87%4.9B9.87%4.9B19.98%4.52B29.73%4.46B29.73%4.46B11.58%3.77B
-accounts payable -11.11%3.97B-14.25%2.79B-14.25%2.79B0.68%4.47B4.37%3.25B4.37%3.25B19.35%4.44B43.79%3.11B43.79%3.11B11.86%3.72B
-Total tax payable -21.65%181M-53.78%220M-53.78%220M168.60%231M53.55%476M53.55%476M65.38%86M44.19%310M44.19%310M-5.45%52M
-Other payable -----18.04%963M-18.04%963M----13.31%1.18B13.31%1.18B-----1.98%1.04B-1.98%1.04B----
Current provisions -13.02%314M3.47%298M3.47%298M10.74%361M20.00%288M20.00%288M29.37%326M-7.69%240M-7.69%240M-31.34%252M
Current debt and capital lease obligation 0.45%2.7B64.43%4.86B64.43%4.86B-70.77%2.69B-75.62%2.96B-75.62%2.96B-14.31%9.21B224.35%12.12B224.35%12.12B401.82%10.74B
-Current debt ----65.97%4.75B65.97%4.75B-----76.20%2.86B-76.20%2.86B----230.24%12.01B230.24%12.01B----
-Current capital lease obligation ----18.75%114M18.75%114M-----10.28%96M-10.28%96M----8.08%107M8.08%107M----
Current liabilities 8.54%8.99B24.74%11.39B24.74%11.39B-59.01%8.28B-63.14%9.13B-63.14%9.13B-15.58%20.2B164.41%24.77B164.41%24.77B290.28%23.93B
Non current liabilities
Long term provisions 9.90%2.67B19.41%2.81B19.41%2.81B-10.68%2.43B2.39%2.35B2.39%2.35B32.25%2.72B16.88%2.3B16.88%2.3B-4.20%2.05B
Long term debt and capital lease obligation 0.87%42.47B5.45%42.21B5.45%42.21B6.90%42.11B20.05%40.03B20.05%40.03B18.81%39.39B21.33%33.34B21.33%33.34B10.94%33.15B
-Long term debt ----5.42%41.55B5.42%41.55B----19.82%39.41B19.82%39.41B----22.29%32.89B22.29%32.89B----
-Long term capital lease obligation ----7.61%665M7.61%665M----37.03%618M37.03%618M-----23.04%451M-23.04%451M----
Derivative product liabilities -23.48%854M-15.13%909M-15.13%909M-5.02%1.12B23.25%1.07B23.25%1.07B94.21%1.18B15.25%869M15.25%869M-8.75%605M
Other non current liabilities -15.54%848M--------8.89%1B--------4.77%922M-61.11%7M-61.11%7M2.92%880M
Total non current liabilities 0.91%57B5.63%57.04B5.63%57.04B3.81%56.49B16.81%54.01B16.81%54.01B22.64%54.42B21.71%46.23B21.71%46.23B7.43%44.37B
Total liabilities 1.88%65.99B8.39%68.43B8.39%68.43B-13.20%64.77B-11.08%63.14B-11.08%63.14B9.25%74.62B49.94%71B49.94%71B43.99%68.3B
Shareholders'equity
Share capital 30.27%637M1.02%493M1.02%493M0.62%489M0.62%488M0.62%488M0.83%486M2.32%485M2.32%485M2.34%482M
-common stock 30.27%637M1.02%493M1.02%493M0.62%489M0.62%488M0.62%488M0.83%486M2.32%485M2.32%485M2.34%482M
Retained earnings 23.74%38.67B1.45%32.07B1.45%32.07B19.21%31.25B18.78%31.61B18.78%31.61B10.91%26.22B14.89%26.61B14.89%26.61B13.26%23.64B
Paid-in capital -0.92%1.29B1.15%1.32B1.15%1.32B-0.23%1.3B-1.29%1.3B-1.29%1.3B1.24%1.3B0.30%1.32B0.30%1.32B-0.92%1.29B
Other equity interest -32.64%-4.76B---------72.85%-3.59B---3.86B---3.86B56.67%-2.07B---------10.84%-4.79B
Total stockholders'equity 21.68%35.84B1.11%29.87B1.11%29.87B13.59%29.46B23.94%29.54B23.94%29.54B25.76%25.93B20.13%23.83B20.13%23.83B12.55%20.62B
Noncontrolling interests 0.00%25M4.17%25M4.17%25M-3.85%25M4.35%24M4.35%24M23.81%26M9.52%23M9.52%23M-4.55%21M
Total equity 21.66%35.87B1.12%29.89B1.12%29.89B13.57%29.48B23.92%29.56B23.92%29.56B25.75%25.96B20.12%23.86B20.12%23.86B12.53%20.64B
Currency Unit GBPGBPGBPGBPGBPGBPGBPGBPGBPGBP
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
Audit Opinions --------Unqualified Opinion----------
Trending US Stocks
Fed Rate Cut Beneficiaries Fed Rate Cut Beneficiaries

Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data. Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data.