FRASERS GROUP PLC (FRAS.L)

Every figure this model derived for FRAS.L, the value it took, and the element in the company's own XBRL it was read from — so any of it can be checked against the filing rather than taken on trust. As at 2025-04-27.

The figures, and where each came from

This is the part no other screener shows. Each figure below names the XBRL element it was read from, so it can be checked against the filing itself.

FigureValueXBRL tagAs at
cash 252,200,000 CashAndCashEquivalents 2025-04-28
current assets 2,355,600,000 CurrentAssets 2025-04-28
current liabilities 1,236,800,000 CurrentLiabilities 2025-04-28
equity 1,960,100,000 EquityAttributableToOwnersOfParent 2025-04-28
interest expense 182,800,000 FinanceCosts 2025-04-27
ocf 943,400,000 CashFlowsFromUsedInOperatingActivities 2025-04-27
revenue 4,840,300,000 Revenue 2025-04-27
sbc 800,000 AdjustmentsForSharebasedPayments 2025-04-27

The ratios

The figures themselves rather than their scores — what somebody looking up FRAS.L on one particular measure came for.

RatioValue
cash operating margin11.52
current ratio1.9
current ratio reported1.9
ev ebit7.95
ev owner earnings4.7
ev sales0.92
fcf margin19.49
interest cover3.05
net debt ebitda1.55
operating margin11.51
owner earnings margin19.47
revenue growth-7.02
revenue growth per share-7.02
roic15.57
rule of 404.48
sbc pct revenue0.02

What to be careful about

What this model itself distrusts about FRAS.L's figures. Written by the derivation as it ran, not added afterwards.