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SSE SSE PLC ORD 50P

SSE  Currency  GBX  Premium Equity Commercial Companies


Income Statement  (£ m) 31-Mar-14 31-Mar-13 31-Mar-12 31-Mar-11 31-Mar-10
Continuing Operations
Revenue  30585.00 28304.60 31723.90 28334.20 21550.40
Operating Profit/(Loss)  848.80 793.70 533.60 2367.80 1903.90
Net Interest  18.50 22.50 267.80 294.20 301.00
Profit Before Tax  575.30 571.30 268.50 2111.70 1638.60
Profit After Tax  446.00 466.10 263.30 1504.50 1235.50
Discontinued Operations
Profit After Tax  0.00 0.00 0.00 0.00 0.00
PROFIT FOR THE PERIOD  446.00 466.10 263.30 1504.50 1235.50
Attributable to:
Minority Interests  0.00 0.00 0.00 0.00 -0.20
Equity Holders of Parent Company  446.00 466.10 263.30 1504.50 1235.30
 
Continuing EPS
Earnings per Share - Basic  33.50p 42.30p 21.10p 162.20p 134.00p
Earnings per Share - Diluted  33.30p 42.20p 21.10p 162.00p 133.90p
Earnings per Share - Adjusted  132.40p 118.50p 21.10p 112.30p 110.20p
Continuing and Discontinued EPS
Earnings per Share - Basic  33.50p 42.30p 21.10p 162.20p 134.00p
Earnings per Share - Diluted  33.30p 42.20p 21.10p 162.00p 133.90p
Earnings per Share - Adjusted  132.40p 118.50p 21.10p 112.30p 110.20p
 
Dividend per Share  85.00p 81.30p 76.60p 71.40p 67.20p

Balance Sheet  (£ m) 31-Mar-14 31-Mar-13 31-Mar-12 31-Mar-11 31-Mar-10
Assets
Non-Current Assets
Property, Plant & Equipment  1070.10 1113.40 413.80 3977.70 3712.80
Intangible Assets  889.30 918.00 846.30 973.10 1014.50
Investment Properties  0.00 0.00 0.00 0.00 0.00
Investments  1585.80 959.90 2139.70 1925.00 1614.90
Other Financial Assets  368.40 382.40 348.00 990.10 466.30
Other Non-Current Assets  9975.40 10127.70 8964.80 4701.50 4653.00
  13889.00 13501.40 12712.60 12567.40 11461.50
Current Assets
Inventories  393.00 291.70 323.70 217.50 272.50
Trade & Other Receivables  4644.90 5266.40 5420.40 5393.70 4592.40
Cash at Bank & in Hand  493.70 593.70 309.10 476.90 332.90
Current Asset Investments  1261.20 940.80 851.20 2525.50 1468.30
Other Current Assets  332.50 2.30 68.00 269.40 0.00
  7125.30 7094.90 6972.40 8883.00 6666.10
 
Total Assets  21014.30 20596.30 19685.00 21450.40 18127.60
 
Liabilities
Current Liabilities
Borrowings  -618.70 -1544.60 -708.60 -446.50 -903.70
Other Current Liabilities  -6893.20 -6405.70 -6287.40 -7663.60 -6308.60
  -7511.90 -7950.30 -6996.00 -8110.10 -7212.30
 
Net Current Assets  -386.60 -855.40 -23.60 772.90 -546.20
 
Non-Current Liabilities
Borrowings  -5676.30 -4540.40 -5537.00 -5159.90 -5143.30
Provisions  -971.00 -1036.10 -1104.10 -1237.50 -707.20
Other Non-Current Liabilities  -1735.60 -1520.60 -1463.80 -1742.10 -1943.80
  -8382.90 -7097.10 -8104.90 -8139.50 -7794.30
 
Other Liabilities  n/a n/a n/a n/a n/a
Total Liabilities  -15894.80 -15047.40 -15100.90 -16249.60 -15006.60
 
Net Assets  5119.50 5548.90 4584.10 5200.80 3121.00
 
Capital & Reserves
Share Capital  487.40 482.10 472.30 -693.00 461.50
Share Premium Account  861.50 857.90 862.00 859.80 857.50
Other Reserves  2183.30 2226.20 1149.00 59.00 119.20
Retained Earnings  1587.30 1982.70 2100.80 2652.20 1686.60
Shareholders Funds  5119.50 5548.90 4584.10 5200.80 3124.80
 
Minority Interests/Other Equity  0.00 0.00 0.00 0.00 -3.80
Total Equity  5119.50 5548.90 4584.10 5200.80 3121.00

Ratios - based on IFRS 31-Mar-14 31-Mar-13 31-Mar-12 31-Mar-11 31-Mar-10
Continuing Operations
PE Ratio - Adjusted  11.10 12.52 62.99 11.23 9.99
PEG - Adjusted  0.95 0.03 -0.78 5.88 4.90
Earnings per Share Growth - Adjusted  11.73% 461.61% -81.21% 1.91% 2.04%
Dividend Cover  1.56 1.46 0.28 1.57 1.64
Revenue Per Share  3167.79p 2973.17p 3382.80p 3054.57p 2337.61p
Pre-Tax Profit per Share  59.59p 60.01p 28.63p 227.65p 177.74p
Operating Margin  0.80% 1.37% 1.18% 7.12% 7.56%
Return on Capital Employed  4.89% 4.77% 4.54% 20.49% 20.24%
 
Continuing & Discontinued Operations
Dividend Yield  5.79% 5.48% 5.76% 5.66% 6.10%
Dividend per Share Growth  4.55% 6.14% 7.28% 6.25% 8.04%
Net Asset Value per Share (exc. Intangibles)  433.90p 480.23p 395.66p 451.24p 228.61p
Net Gearing  113.32% 98.96% 129.50% 98.63% 182.86%

Data is provided by Morningstar


SSE share - fundamentals

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