bf/NYSE:FERG_icon.jpeg

NYSE:FERG

Ferguson plc

  • Stock

USD

Last Close

211.79

17/05 20:00

Market Cap

38.35B

Beta: 1.19

Volume Today

1.06M

Avg: 1.29M

PE Ratio

21.30

PFCF: 16.49

Dividend Yield

1.60%

Payout:25.37%

Jul '13
Jul '14
Jul '15
Jul '16
Jul '17
Jul '18
Jul '19
Jul '20
Jul '21
Jul '22
Jul '23
Jan '24
net income
464.79M
-
852.11M
83.33%
332.32M
61.00%
858.87M
158.44%
1.03B
19.82%
1.27B
23.11%
1.11B
12.55%
961M
13.27%
1.51B
56.92%
2.12B
40.72%
1.89B
10.98%
1.76B
6.78%
depreciation and amortization
344.40M
-
262.06M
23.91%
647.49M
147.08%
379.22M
41.43%
442.93M
16.80%
245M
44.69%
288M
17.55%
602M
109.03%
563M
6.48%
301M
46.54%
321M
6.64%
322M
0.31%
deferred income tax
-245.35M
-
-131.87M
46.25%
93.61M
170.99%
-212.74M
327.25%
-419.27M
97.09%
-203M
51.58%
-108M
46.80%
-60M
44.44%
-119M
98.33%
41M
-
stock based compensation
33.53M
-
37.20M
10.95%
31.20M
16.11%
26.43M
15.31%
28.92M
9.42%
35M
21.04%
34M
2.86%
26M
23.53%
71M
173.08%
57M
19.72%
51M
10.53%
change in working capital
-1.52M
-
-304.33M
19,870.21%
-85.81M
71.80%
-56.82M
33.79%
-144.58M
154.46%
-365M
152.46%
-102M
72.05%
195M
291.18%
-628M
422.05%
-1.33B
112.26%
434M
132.56%
accounts receivables
-132M
-
210M
259.09%
-756M
460.00%
-780M
3.17%
-1M
99.87%
inventory
-73.15M
-
-118.35M
61.80%
-176.30M
48.97%
-47.57M
73.02%
-127.49M
168.02%
-102M
19.99%
-172M
68.63%
19M
111.05%
-825M
4,442.11%
-927M
12.36%
607M
165.48%
accounts payables
227M
-
-9M
103.96%
1.01B
11,344.44%
436M
56.92%
436M
0%
other working capital
71.62M
-
-185.98M
359.66%
90.49M
148.66%
-9.25M
110.22%
-17.09M
84.73%
-263M
1,439.24%
-25M
90.49%
-25M
0%
-59M
136%
-62M
5.08%
-608M
880.65%
other non cash items
35.05M
-
49.03M
39.89%
48.37M
1.35%
44.93M
7.11%
51.26M
14.10%
57M
11.20%
70M
22.81%
144M
105.71%
146M
1.39%
2M
98.63%
-13M
750%
-2.08B
15,923.08%
net cash provided by operating activities
630.90M
-
764.20M
21.13%
1.07B
39.65%
1.04B
2.56%
988.38M
4.95%
1.04B
4.82%
1.29B
24.52%
1.87B
44.81%
1.54B
17.51%
1.15B
25.44%
2.72B
136.99%
2.08B
23.50%
investments in property plant and equipment
-213.35M
-
-339.83M
59.29%
-360.41M
6.06%
-288.05M
20.08%
-233.95M
18.78%
-299M
27.80%
-418M
39.80%
-302M
27.75%
-246M
18.54%
-290M
17.89%
-441M
52.07%
acquisitions net
-160.01M
-
-270.51M
69.06%
-109.21M
59.63%
-137.42M
25.82%
-32.86M
76.09%
869M
2,744.68%
-449M
151.67%
-317M
29.40%
39M
112.30%
-650M
1,766.67%
-616M
5.23%
purchases of investments
40.57M
-
32.86M
-
-11M
-
-5M
54.55%
sales maturities of investments
48.37M
-
22.34M
-
18M
-
32M
77.78%
other investing activites
57.91M
-
62.56M
8.03%
-9.36M
114.96%
73.99M
890.44%
-7.89M
110.66%
130M
1,748.49%
77M
40.77%
-14M
118.18%
35M
350%
18M
48.57%
3M
83.33%
net cash used for investing activites
-315.45M
-
-547.79M
73.65%
-390.05M
28.80%
-351.48M
9.89%
-219.49M
37.55%
700M
418.91%
-783M
211.86%
-606M
22.61%
-172M
71.62%
-922M
436.05%
-1.05B
14.32%
debt repayment
-60.96M
-
-11.83M
80.58%
-505.51M
4,171.32%
-780.91M
54.48%
-609.85M
21.90%
-261M
57.20%
-2M
99.23%
-566M
28,200%
-375M
33.75%
-575M
53.33%
-2.93B
409.57%
common stock issued
-144.77M
-
-10.14M
92.99%
-1.56M
84.62%
1.32M
184.69%
19.72M
1,392.05%
-17M
186.23%
-26M
52.94%
-15M
42.31%
18M
220.00%
-79M
538.89%
17M
121.52%
common stock repurchased
-167.63M
-
-43.96M
73.78%
-390.05M
787.32%
-396.40M
1.63%
-675M
-
-150M
77.78%
-451M
200.67%
-400M
11.31%
-1.54B
286.25%
-908M
41.23%
dividends paid
-793.95M
-
-826.75M
4.13%
-346.37M
58.11%
-314.48M
9.21%
-340.41M
8.25%
-1.36B
299.22%
-445M
67.26%
-327M
26.52%
-1.04B
216.82%
-538M
48.07%
-711M
32.16%
other financing activites
149.34M
-
468.32M
213.59%
825.35M
76.23%
767.70M
6.99%
438.99M
42.82%
455M
3.65%
754M
65.71%
874M
15.92%
-292M
133.41%
1.99B
782.53%
2.73B
36.73%
net cash used provided by financing activities
-1.02B
-
-424.37M
58.31%
-418.14M
1.47%
-722.77M
72.86%
-491.56M
31.99%
-1.86B
277.78%
131M
107.05%
-485M
470.23%
-2.08B
329.90%
-744M
64.32%
-1.81B
142.88%
effect of forex changes on cash
-15.24M
-
-21.98M
44.23%
-120.14M
446.59%
23.78M
119.80%
-19.72M
182.89%
-7M
64.49%
-10M
42.86%
4M
140%
1M
75%
-40M
4,100%
22M
155%
net change in cash
-717.76M
-
-229.94M
67.96%
138.86M
160.39%
-10.57M
107.61%
257.61M
2,537.02%
-128M
149.69%
628M
590.63%
781M
24.36%
-715M
191.55%
-557M
22.10%
-116M
79.17%
2.08B
1,895.69%
cash at beginning of period
1.18B
-
512.28M
56.57%
260.55M
49.14%
338.26M
29.82%
325.96M
3.64%
586M
79.78%
458M
21.84%
1.09B
137.12%
1.87B
71.92%
1.34B
28.12%
785M
41.51%
cash at end of period
461.74M
-
282.35M
38.85%
399.41M
41.46%
327.69M
17.96%
583.57M
78.08%
458M
21.52%
1.09B
137.12%
1.87B
71.92%
1.15B
38.30%
785M
31.86%
669M
14.78%
2.08B
211.36%
operating cash flow
630.90M
-
764.20M
21.13%
1.07B
39.65%
1.04B
2.56%
988.38M
4.95%
1.04B
4.82%
1.29B
24.52%
1.87B
44.81%
1.54B
17.51%
1.15B
25.44%
2.72B
136.99%
2.08B
23.50%
capital expenditure
-213.35M
-
-339.83M
59.29%
-360.41M
6.06%
-288.05M
20.08%
-233.95M
18.78%
-299M
27.80%
-418M
39.80%
-302M
27.75%
-246M
18.54%
-290M
17.89%
-441M
52.07%
free cash flow
417.55M
-
424.37M
1.63%
706.77M
66.55%
751.84M
6.38%
754.43M
0.34%
737M
2.31%
872M
18.32%
1.57B
79.59%
1.29B
17.31%
859M
33.67%
2.28B
165.66%
2.08B
8.72%

All numbers in USD (except ratios and percentages)