Stock Scorer

GAMES WORKSHOP GROUP PLC (GAW.L)

These figures are from 2025-06-01. Nothing newer has been filed in the 16 months since.

GAMES WORKSHOP GROUP PLC reported revenue of 617.5M GBP for the year ending 1 June 2025, up 17.5% from 525.7M a year earlier.

Every figure below is the company's own, as filed. Nothing is estimated and nothing is smoothed — a period the filing does not support is left blank rather than filled in. Quarters are the company's own, counted from its financial year ending 06-01. Amounts in GBP. The same series drawn ›

As last reported

The newest period the filing supports for each figure, in GBP.
FigurePeriodAmountYear on year
Revenue 2025 · ending 1 June 2025 617.5M +17.5%
Gross Profit 2025 · ending 1 June 2025 445M +18.8%
Operating Income 2025 · ending 1 June 2025 261.3M +29.5%
Net Income 2025 · ending 1 June 2025 196.1M +29.8%
Operating Cash Flow 2025 · ending 1 June 2025 247.4M +26.1%
Free Cash Flow 2025 · ending 1 June 2025 223.4M +23.7%

Revenue and profit by financial year

As filed, in GBP. A year the filing does not support is not listed.
YearEnding RevenueOperating IncomeNet IncomeFree Cash Flow
20252025-06-01 617.5M261.3M196.1M223.4M
20242024-06-02 525.7M201.8M151.1M180.6M
20232023-05-28 470.8M170.2M134.7M177.9M
20222022-05-29 414.8M157.1M128.4M104.5M

Every period

Revenue Annual

PeriodEndingRevenue
FY252025-06-01617.5M
FY242024-06-02525.7M
FY232023-05-28470.8M
FY222022-05-29414.8M

Gross Profit Annual

PeriodEndingGross Profit
FY252025-06-01445M
FY242024-06-02374.5M
FY232023-05-28321.6M
FY222022-05-29287.4M

Operating Income Annual

PeriodEndingOperating Income
FY252025-06-01261.3M
FY242024-06-02201.8M
FY232023-05-28170.2M
FY222022-05-29157.1M

Net Income Annual

PeriodEndingNet Income
FY252025-06-01196.1M
FY242024-06-02151.1M
FY232023-05-28134.7M
FY222022-05-29128.4M

Operating Cash Flow Annual

PeriodEndingOperating Cash Flow
FY252025-06-01247.4M
FY242024-06-02196.2M
FY232023-05-28192.7M
FY222022-05-29121.5M

Free Cash Flow Annual

Operating cash flow minus capital expenditure.

PeriodEndingFree Cash Flow
FY252025-06-01223.4M
FY242024-06-02180.6M
FY232023-05-28177.9M
FY222022-05-29104.5M