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Persimmon Plc (PSMMF)

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21.31 0.00 (0.00%)
At close: 6 November at 3:00 pm GMT-5
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DELL
  • Previous close 0.00
  • Open 15.00
  • Bid 16.15 x 40000
  • Ask 18.85 x 43500
  • Day's range 15.00 - 15.00
  • 52-week range 13.90 - 22.58
  • Volume 16
  • Avg. Volume 723
  • Market cap (intra-day) 6.813B
  • Beta (5Y monthly) 1.37
  • PE ratio (TTM) 20.49
  • EPS (TTM) 1.04
  • Earnings date 8 Aug 2024
  • Forward dividend & yield 0.78 (3.65%)
  • Ex-dividend date 17 Oct 2024
  • 1y target est --

Persimmon Plc, together with its subsidiaries, operates as a house builder in the United Kingdom. The company offers family housing under the Persimmon Homes brand name; housing under the Charles Church brand name; and social housing under the Westbury Partnerships brand name. It also provides broadband services under the FibreNest brand; and timber frame, insulated wall panels, and roof cassettes under the brand Space4. Further, it offers concrete bricks and roof tile. Persimmon Plc was founded in 1972 and is headquartered in York, the United Kingdom.

www.persimmonhomes.com

4,825

Full-time employees

31 December

Fiscal year ends

Consumer Cyclical

Sector

Residential Construction

Industry

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Performance overview: PSMMF

Trailing total returns as of 07/11/2024, which may include dividends or other distributions. Benchmark is

.

YTD return

PSMMF
47.16%
FTSE 100
5.73%

1-year return

PSMMF
79.62%
FTSE 100
10.23%

3-year return

PSMMF
25.71%
FTSE 100
11.94%

5-year return

PSMMF
20.24%
FTSE 100
10.54%

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Statistics: PSMMF

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Valuation measures

As of 06/11/2024
  • Market cap

    5.60B

  • Enterprise value

    5.15B

  • Trailing P/E

    20.50

  • Forward P/E

    16.31

  • PEG ratio (5-yr expected)

    0.82

  • Price/sales (ttm)

    1.81

  • Price/book (mrq)

    1.53

  • Enterprise value/revenue

    1.50

  • Enterprise value/EBITDA

    11.34

Financial highlights

Profitability and income statement

  • Profit margin

    8.84%

  • Return on assets (ttm)

    8.28%

  • Return on equity (ttm)

    7.58%

  • Revenue (ttm)

    2.9B

  • Net income avi to common (ttm)

    256.4M

  • Diluted EPS (ttm)

    1.04

Balance sheet and cash flow

  • Total cash (mrq)

    350.2M

  • Total debt/equity (mrq)

    --

  • Levered free cash flow (ttm)

    383.35M

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