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.
| Figure | Period | Amount | Year 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.
| Year | Ending |
Revenue | Operating Income | Net Income | Free Cash Flow |
| 2025 | 2025-06-01 |
617.5M | 261.3M | 196.1M | 223.4M |
| 2024 | 2024-06-02 |
525.7M | 201.8M | 151.1M | 180.6M |
| 2023 | 2023-05-28 |
470.8M | 170.2M | 134.7M | 177.9M |
| 2022 | 2022-05-29 |
414.8M | 157.1M | 128.4M | 104.5M |
Every period
Revenue Annual
| Period | Ending | Revenue |
| FY25 | 2025-06-01 | 617.5M |
| FY24 | 2024-06-02 | 525.7M |
| FY23 | 2023-05-28 | 470.8M |
| FY22 | 2022-05-29 | 414.8M |
Gross Profit Annual
| Period | Ending | Gross Profit |
| FY25 | 2025-06-01 | 445M |
| FY24 | 2024-06-02 | 374.5M |
| FY23 | 2023-05-28 | 321.6M |
| FY22 | 2022-05-29 | 287.4M |
Operating Income Annual
| Period | Ending | Operating Income |
| FY25 | 2025-06-01 | 261.3M |
| FY24 | 2024-06-02 | 201.8M |
| FY23 | 2023-05-28 | 170.2M |
| FY22 | 2022-05-29 | 157.1M |
Net Income Annual
| Period | Ending | Net Income |
| FY25 | 2025-06-01 | 196.1M |
| FY24 | 2024-06-02 | 151.1M |
| FY23 | 2023-05-28 | 134.7M |
| FY22 | 2022-05-29 | 128.4M |
Operating Cash Flow Annual
| Period | Ending | Operating Cash Flow |
| FY25 | 2025-06-01 | 247.4M |
| FY24 | 2024-06-02 | 196.2M |
| FY23 | 2023-05-28 | 192.7M |
| FY22 | 2022-05-29 | 121.5M |
Free Cash Flow Annual
Operating cash flow minus capital expenditure.
| Period | Ending | Free Cash Flow |
| FY25 | 2025-06-01 | 223.4M |
| FY24 | 2024-06-02 | 180.6M |
| FY23 | 2023-05-28 | 177.9M |
| FY22 | 2022-05-29 | 104.5M |