SEGRO Plc
LSE:SGRO
£ 6,94
£-0,21 (-2,94%)
6,94 £
£-0,21 (-2,94%)
End-of-day quote: 03/20/2026

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

Financials

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2011 2010 2009 2006
FFO FFO £0,32 £0,31 £0,28 £0,25 £0,23 £0,23 £0,19 £0,19 £0,18 £0,15 £0,17 £0,16 £0,44
Revenue Revenue £547,00M £488,00M £447,00M £392,90M £362,00M £297,70M £272,90M £225,50M £210,70M £326,10M £344,60M £365,50M £247,20M
OCF Operating Cash Flow £431,00M £213,00M £311,00M £199,30M £210,30M £200,30M £-24,30M £101,20M £87,70M £124,20M £244,90M £79,30M £38,90M
FCF Free Cash Flow £107,74M £-1,26B £-1,40B £194,40M £-9,60M £-77,80M £-359,00M £97,70M £85,60M £-70,00M £0,00M £0,00M £0,00M
OM Operating Margin 70,09% 61,43% 63,37% 63,89% 59,77% 67,56% 69,18% 68,33% 68,60% 74,04% 70,79% 69,70% 72,28%
GM % Gross Margin % 78,50% 70,25% 74,18% 75,93% 71,68% 79,27% 82,30% 80,79% 82,92% 83,46% 81,96% 82,03% 83,03%
FCFS Free Cash Flow Per Share £0,33 £0,17 £0,27 £0,17 £0,19 £0,20 £-0,03 £0,13 £0,11 £0,17 £0,14 £0,14 £0,93
LT Debt Long-Term Debt £5,44B £5,07B £3,46B £2,42B £1,94B £2,24B £2,06B £1,65B £1,82B £2,33B £2,20B £2,19B £2,31B
Sha. Stocks 1.227,6M 1.208,8M 1.194,7M 1.191,3M 1.096,1M 1.012,8M 1.002M 828,7M 746,2M 740,62M 740,2M 733,07M 43,36M
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