570.00p-7.00 (-1.21 %)03 Dec 2020, 17:05
Find out how to deal online from £1.50 in a SIPP, ISA or Dealing account.
Jump to:

Sanne Group PLC Fundamentals

Company NameSanne Group PLCLast Updated2020-12-03
IndustryAsset ManagementSectorFinancial Services
Shares in Issue147.290 mMarket Cap£839.55 m
PE Ratio68.03Dividend per Share£0.14
Dividend Yield2.46Dividend Cover0.27
EPS£0.06EPS Growth (%)-0.20
PEG0DPS Growth (%)0.0692
Debt Ratio0.4310Debt Equity Ratio0.9498
Asset Equity Ratio2.2586Cash Equity Ratio0.2809
Quick Ratio3.0029Current Ratio3.04
Price To Book Value0ROCE0

Sanne Group PLC Dividends

TypeEx-DatePay DateCurrencyNet DividendYear Total

Sanne Group PLC Company Financials

Tangible Assets£42.72 m£9.97 m£3.81 m
Intangible Assets£225.80 m£255.05 m£167.27 m
Investments£8.63 m00
Total Fixed Assets£285.48 m£267.11 m£172.12 m
Debtors£50.31 m£48.26 m£31.97 m
Cash & Equivalents£51.45 m£32.41 m£50.80 m
Other Assets000
Total Assets£394.31 m£353.40 m£254.90 m
Creditors within 1 year£40.72 m£55.16 m£24.18 m
Creditors after 1 year£181.76 m£105.57 m£74.03 m
Other Liabilities£575,000.00£250,000.000
Total Liabilities£222.48 m£160.74 m£98.21 m
Net assets£171.82 m£192.67 m£156.69 m
Called up share capital£1.47 m£1.46 m£1.42 m
Share Premium£203.42 m£200.27 m£171.85 m
Profit / Loss£9.55 m£19.63 m£22.41 m
Other Equity£171.82 m£192.67 m£156.69 m
Preference & Minorities000
Total Capital Employed£171.82 m£192.67 m£156.69 m
Debt Ratio£0.49£0.31£0.29
Assets / Equity2.25862.25862.2586
Cash / Equity0.28090.28090.2809
Cash Flow201920182017
Cash from operating activities£45.44 m£27.62 m£31.25 m
Cashflow before financing£62.61 m£28.03 m£19.53 m
Increase in Cash£20.59 m-£19.72 m-£57.11 m
Turnover£159.71 m£136.24 m£113.17 m
Cost of sales£66.87 m£51.94 m£40.71 m
Gross Profit£92.84 m£84.30 m£72.46 m
Operating Profit£14.28 m£21.52 m£23.14 m
Pre-Tax profit£9.55 m£19.63 m£22.41 m

Sanne Group PLC Company Background

SectorFinancial Services
ActivitiesSanne Group PLC is a Jersey-registered specialist global provider of outsourced corporate and fund administration, reporting and fiduciary services. The company provides fund and corporate administration; accounting and reporting services;asset servicing; loan agency and servicing; depositary services; transaction management; compliance monitoring; regulatory reporting services; director and trustee services and others. It manages its business activities in seven segments such as Debt, Real Estate, Private Equity, Corporate and Institutional, Executive Incentives, Private Client, and treasury. The group earns the majority of its revenue from Rest of Europe.
Latest Interim Date9 Sep 2020
Latest Fiscal Year End Date19 Mar 2020

Sanne Group PLC Directors

2020-04-29Mr. Rupert Hugo Wynne RobsonChairman
2020-04-29Mr. Andrew David PomfretDirector
2020-04-29Ms. Julia Anne Jennifer Chapman Director
2020-03-25 Mel Gerard Carvill Director
2020-04-29Ms. Nicola PaliosDirector
2019-05-16Mr. Dean GodwinChief Executive Officer
2018-06-29Mr. Spencer DaleyCFO/Director
2018-03-29Mr. Philip GodleyExecutive Director,Senior Managing Director
2020-04-29James IrelandChief Financial Officer
2020-09-24Yves SteinDirector
2020-04-29Mr. Martin SchnaierChief Executive Officer

Sanne Group PLC Contact Details

Company NameSanne Group PLC
Address13 Castle Street, St Helier, JE4 5UT
Telephone+44 1534722787

Sanne Group PLC Advisors

Remuneration ConsultantNew Bridge Street
Phone+44 2070869341
Fax+44 2070869341
AuditorDeloitte LLP
Phone+44 1534824200
Fax+44 1534734037
Financial PR AdviserTulchan Communications LLP
Phone+44 2073534200
Fax+44 2073534201
Financial AdviserInvestec Investment Banking
Phone +44 2075974000
Fax+44 20 75974070
RegistrarEquiniti Limited
Phone(0870) 600 3970
Fax(0870) 600 3980
StockbrokerInvestec Securities
Phone+44 2075974000
Fax+44 2075974070
SolicitorBerwin Leighton Paisner
Phone+44 2034001000
Fax+44 2077601111
SolicitorCarey Olsen
Phone+44 1534888900
Fax+44 1534887744