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Redrow Fundamentals

Company Name Redrow Group Last Updated 23 Sep 2020
Industry Consumer Goods Sector Home Construction
Shares in Issue (m) 352.19 Market Cap (£m) 1,282.68
PE Ratio 11.07 Div per Share () 0.00
Div Yield 0.00 Div Cover 0.00
EPS 32.90 EPS Growth (%) -64.36
PEG -0.17 DPS Growth (%) -100.00
Debt Ratio 15.71 Debt Equity Ratio 0.27
Net Gearing 38.92 Gross Gearing 40.53
Asset Equity Ratio 1.68 Cash Equity Ratio 2.71
Quick Ratio 0.11 Current Ratio 3.32
Price To Book Value 0.79 ROCE 7.26

Redrow Dividends

Type Ex-Date Pay Date Currency Net Dividend Year Total
10.5p Cancelled 05 Mar 2020 09 Apr 2020 GBX 0.00
H2 Dividend 19 Sep 2019 13 Nov 2019 GBX 20.50 30.50
H1 Dividend 07 Mar 2019 09 Apr 2019 GBX 10.00
H2 Dividend 20 Sep 2018 13 Nov 2018 GBX 19.00 28.00
H1 Dividend 05 Apr 2018 04 May 2018 GBX 9.00
H2 Dividend 21 Sep 2017 10 Nov 2017 GBX 11.00 17.00
H1 Dividend 23 Mar 2017 05 May 2017 GBX 6.00
H2 Dividend 22 Sep 2016 11 Nov 2016 GBX 6.00 10.00
H1 Dividend 18 Feb 2016 31 Mar 2016 GBX 4.00
H2 Dividend 24 Sep 2015 13 Nov 2015 GBX 4.00 6.00

Redrow Company Financials

Assets (£m) 2020 2019 2018
Tangible Assets 19 16 15
Intangible Assets 2 2 2
Investments 39 37 40
Total Fixed Assets 60 55 57
Stocks 2,585 2,297 2,218
Debtors 38 48 42
Cash & Equivalents 44 204 90
Other Assets 7 0 0
Total Assets 2,734 2,604 2,407
Liabilities (£m) 2020 2019 2018
Creditors within 1 year 805 760 727
Creditors after 1 year 303 259 197
Other Liabilities 0 0 0
Total Liabilities 1,108 1,019 924
Net assets 1,626 1,585 1,483
Equity (£m) 2020 2019 2018
Called up share capital 37 37 37
Share Premium 59 59 59
Profit / Loss 140 406 380
Other Equity 8 8 8
Preference & Minorities 0 0 0
Total Capital Employed 1,626 1,585 1,483
Ratios 2020 2019 2018
Debt Ratio 15.71 14.05 11.73
Debt-to-Equity 0.27 0.25 0.21
Net Gearing 38.92 31.30 34.65
Gross Gearing 40.53 39.13 38.39
Assets / Equity 1.68 1.64 1.62
Cash / Equity 2.71 12.87 6.07
EPS 32.90 92.30 85.30
Cash Flow (£m) 2020 2019 2018
Cash from operating activities -149 292 198
Cashflow before financing -159 289 222
Increase in Cash -160 136 51
Income (£m) 2020 2019 2018
Turnover 1,339 2,112 1,920
Cost of sales 1,097 1,608 1,451
Gross Profit 242 504 469
Operating Profit 148 411 382
Pre-Tax profit 140 406 380
Profit / Loss for the year 37 37 37

Redrow Company Background

Sector Home Construction
Activities Redrow build new homes in over 100 different locations throughout England, Scotland and Wales. Redrow is one of the U.K.'s most successful residential and commercial property developers, with a reputation for build and service quality.
Latest Interim Date 05 Feb 2020
Latest Fiscal Year End Date 16 Sep 2020

Redrow Directors

Appointed Director Position
2019-04-01 Matthew Pratt Chief Operating Officer
2002-07-01 John Frederick Tutte Executive Chairman
2010-01-18 Barbara Mary Richmond Group Finance Director
2012-12-01 Andrew Nicholas Hewson Non-Executive Director
2015-01-06 Sir Michael Thomas Lyons Non-Executive Director
2017-08-01 Vanda Murray Non-Executive Director
2019-11-06 Nicola Joy Dulieu Non-Executive Director

Redrow Contact Details

Company Name Redrow Group
Company Address Redrow House, St. David's Park, Flintshire CH5 3RX.
Company Telephone 01244 520 044
Company Website http://www.redrow.co.uk/

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