Frasers Group Plc
LSE:FRAS
£ 6,37
+ £0,14 (2,25%)
6,37 £
+£0,14 (2,25%)
End-of-day quote: 03/31/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

£0,98
Earnings Per Share
£11,38
Revenue Per Share
47,27%
Gross Margin %
£2,69 B
Market Cap
£1,12 B
Long-Term Debt
Earnings Per Share
£0,98
Revenue Per Share
£11,38
Gross Margin %
47,27%
Market Cap
£2,69 B
Long-Term Debt
£1,12 B

Financials

Year Year 2026 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007
EPS Earnings Per Share £0,98 £0,96 £0,71 £0,74 £-0,17 £0,16 £0,18 £0,20 £0,11 £0,35 £0,37 £0,30 £0,25 £0,19 £0,16 £0,12 £0,08 £0,09 £0,14
Earnings Earnings £424,27M £415,61M £312,47M £340,47M £-84,33M £80,31M £93,49M £104,55M £63,29M £207,46M £219,15M £177,69M £149,62M £113,73M £92,25M £69,18M £45,48M £51,16M £100,80M
RPS Revenue Per Share £0,00 £11,38 £12,79 £12,65 £10,32 £7,31 £7,88 £7,13 £6,43 £5,64 £4,90 £4,78 £4,57 £3,65 £3,07 £2,77 £2,52 £2,41 £2,22 £1,87
Revenue Revenue £0,00M £4,93B £5,54B £5,57B £4,75B £3,63B £3,96B £3,70B £3,36B £3,25B £2,90B £2,83B £2,71B £2,19B £1,84B £1,60B £1,45B £1,37B £1,26B £1,35B
OCF Operating Cash Flow £0,00M £943,40M £682,20M £541,70M £497,70M £578,30M £376,70M £273,30M £0,00M £269,20M £65,71M £314,36M £167,06M £159,09M £165,43M £184,26M £164,64M £0,00M £59,52M £175,38M
FCF Free Cash Flow £0,00M £531,70M £415,00M £72,30M £217,60M £320,20M £53,20M £114,80M £122,00M £-219,60M £-141,27M £139,61M £99,75M £66,17M £33,10M £163,81M £0,00M £0,00M £0,00M £0,00M
OM Operating Margin 0,00% 10,89% 9,39% 7,87% 11,30% 6,74% 5,46% 4,62% 4,91% 3,00% 9,50% 10,52% 9,39% 9,69% 8,21% 8,53% 4,64% 7,16% 8,70% 11,31%
GM % Gross Margin % 0,00% 47,27% 43,62% 42,86% 43,64% 42,14% 42,01% 42,78% 39,74% 41,00% 44,23% 43,81% 42,68% 40,94% 40,54% 41,20% 40,58% 40,78% 43,64% 44,25%
FCFS Free Cash Flow Per Share £0,00 £1,23 £0,95 £0,16 £0,63 £0,61 £0,11 £0,22 £0,22 £-0,27 £-0,24 £0,23 £0,17 £0,11 £0,06 £0,29 £0,26 £0,10 £-0,17 £0,26
LT Debt Long-Term Debt N/A £1,12B £806,20M £749,70M £827,90M £705,90M £900,00M £820,00M £750,00M £317,30M £333,10M £136,85M £6,76M £245,63M £213,76M £194,92M £2,79M £4,09M £13,64M £1,84M
Sha. Stocks 432,93M 432,93M 432,93M 440,1M 460,09M 496,04M 501,95M 519,39M 522,73M 575,4M 592,74M 592,29M 592,29M 598,46M 598,6M 576,55M 576,5M 568,45M 568,45M 720M
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