Britvic plc (BVIC) Ordinary 20p
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Annual & interim reports
Financial results for the last 5 years
Values are quoted in the stock's local currency: British pound.
Income Statement: | 30/09/2023 | 30/09/2022 | 30/09/2021 | 30/09/2020 | 29/09/2019 |
---|---|---|---|---|---|
£ (Millions) | £ (Millions) | £ (Millions) | £ (Millions) | £ (Millions) | |
Revenue: | 1,748.60 | 1,618.30 | 1,405.10 | 1,412.40 | 1,545.00 |
Operating Profit / (Loss): | 181.50 | 192.40 | 152.40 | 130.30 | 130.00 |
Net Interest: | (24.70) | (17.30) | (17.80) | (19.10) | (19.70) |
Profit Before Tax: | 156.80 | 175.10 | 134.60 | 111.20 | 110.30 |
Profit after tax from continuing operations: | 124.00 | 140.20 | 96.50 | 94.60 | 80.90 |
Discontinued Operations: | |||||
Profit after tax from discontinuing operations: | n/a | n/a | n/a | n/a | n/a |
Profit for the period: | 124.00 | 140.20 | 96.50 | 94.60 | 80.90 |
Attributable to: | |||||
Equity holders of parent company: | 124.00 | 140.20 | 96.50 | 94.60 | 80.90 |
Minority Interests / Other Equity: | n/a | n/a | n/a | n/a | n/a |
Total Dividend Paid: | c n/a | c n/a | c n/a | c n/a | c n/a |
Retained Profit / (Loss) for the Financial Year: | c n/a | c n/a | c n/a | c n/a | c n/a |
Earnings per Share: | |||||
Basic: | 48.30p | 52.60p | 36.20p | 35.60p | 30.60p |
Diluted: | 47.90p | 52.50p | 36.10p | 35.40p | 30.30p |
Adjusted: | 61.00p | 57.30p | 44.30p | 43.20p | 59.80p |
Dividend per Share: | 30.80p | 29.00p | 24.20p | 21.60p | 30.00p |
Balance Sheet: | 30/09/2023 | 30/09/2022 | 30/09/2021 | 30/09/2020 | 29/09/2019 |
£ (Millions) | £ (Millions) | £ (Millions) | £ (Millions) | £ (Millions) | |
Assets: | |||||
Non-Current Assets: | |||||
Property, Plant & Equipment: | 596.40 | 582.60 | 544.10 | 540.80 | 494.00 |
Intangible Assets: | 434.30 | 416.40 | 406.50 | 403.50 | 427.80 |
Investment Properties: | n/a | n/a | n/a | n/a | n/a |
Investments: | n/a | n/a | n/a | n/a | n/a |
Other Financial Assets: | 16.00 | 45.90 | 22.20 | 25.20 | 39.50 |
Other Non-Current Assets: | 86.30 | 149.30 | 151.00 | 112.60 | 154.50 |
1,133.00 | 1,194.20 | 1,123.80 | 1,082.10 | 1,115.80 | |
Current Assets: | |||||
Inventories: | 209.80 | 172.00 | 135.00 | 118.50 | 141.00 |
Trade and Other Receivables: | 430.90 | 456.10 | 383.30 | 348.60 | 358.00 |
Cash at Bank & In Hand: | 79.20 | 85.90 | 71.10 | 109.20 | 49.00 |
Current Asset Investments: | n/a | n/a | n/a | n/a | n/a |
Other Current Assets: | 45.10 | 70.30 | 4.00 | 22.10 | 35.50 |
765.00 | 784.30 | 593.40 | 598.40 | 583.50 | |
Other Assets: | n/a | n/a | 16.80 | 20.30 | 42.10 |
Total Assets: | 1,898.00 | 1,978.50 | 1,734.00 | 1,700.80 | 1,741.40 |
Liabilities: | |||||
Current Liabilities: | |||||
Borrowings: | 107.30 | 60.60 | 11.10 | 88.30 | 166.30 |
Other Current Liabilities: | 674.40 | 670.20 | 553.70 | 494.60 | 551.40 |
781.70 | 730.80 | 564.80 | 582.90 | 717.70 | |
Net Current Assets: | c n/a | c n/a | c n/a | c n/a | c n/a |
Non-Current Liabilities: | |||||
Borrowings: | 610.80 | 628.40 | 643.10 | 656.20 | 517.20 |
Provisions: | 112.10 | 124.00 | 99.00 | 69.80 | 73.00 |
Other Non-Current Liabilities: | 1.70 | 7.30 | 16.40 | 16.40 | 18.10 |
724.60 | 759.70 | 758.50 | 742.40 | 608.30 | |
Other Liabilities: | n/a | n/a | n/a | n/a | n/a |
Total Liabilities: | 1,506.30 | 1,490.50 | 1,323.30 | 1,325.30 | 1,326.00 |
Net Assets: | 391.70 | 488.00 | 410.70 | 375.50 | 415.40 |
Capital & reserves: | |||||
Share Capital: | 50.90 | 52.70 | 53.50 | 53.40 | 53.10 |
Share Premium Account: | 157.20 | 157.20 | 156.20 | 154.10 | 145.50 |
Other Reserves: | 57.40 | 98.80 | 52.20 | 56.10 | 89.10 |
Retained Earnings: | 126.20 | 179.30 | 148.80 | 111.90 | 127.70 |
Shareholders Funds: | 391.70 | 488.00 | 410.70 | 375.50 | 415.40 |
Minority Interests / Other Equity: | n/a | n/a | n/a | n/a | n/a |
Total Equity: | 391.70 | 488.00 | 410.70 | 375.50 | 415.40 |
a. Includes discontinued activities
b. Including assets due in more than one year
c. Not disclosed under IFRS
d. Total fixed assets
e. Includes borrowings
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The London Stock Exchange does not disclose whether a trade is a buy or a sell so this data is estimated based on the trade price received and the LSE-quoted mid-price at the point the trade is placed. It should only be considered an indication and not a recommendation.
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