Mitie Group plc (MTO)

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MTOLondon Stock Exchange
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Financial charts

Total cash / debt

CashTotal debt

Financial statements

6 annual periodsNewest to oldest
202620252024202320222021
Revenue£5.62B£5.08B£4.45B£3.94B£3.90B£2.50B
Gross profit£656.3M£569.7M£499.9M£436.5M£451.8M£276.3M
Gross margin11.68%11.21%11.25%11.06%11.57%11.06%
Operating expenses£504.9M£408.1M£334.2M£319.5M£379.7M£272.3M
Operating income£151.4M£161.6M£165.7M£117.0M£72.1M£4.0M
Operating margin2.69%3.18%3.73%2.97%1.85%0.16%
EBITDA£289.7M£269.7M£249.7M£190.4M
EBITDA margin5.16%5.31%5.62%4.83%
Net income£90.3M£108.4M£130.9M£91.1M£50.7M−£6.9M
Net profit margin1.61%2.13%2.94%2.31%1.30%−0.28%
Basic EPSper basic share£0.07£0.08£0.10£0.07£0.04-£0.01
Diluted EPSper diluted share£0.06£0.08£0.09£0.06£0.03-£0.01

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