Morningstar® Stock Report™

Virgin Money UK PLC VMUK

Period
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Common size as percentageCommon size as fraction
Rounding
ThousandBillion
Flujo de Caja
20192020202120222023
Fin Ejercicio Fiscal30/09/201930/09/202030/09/202130/09/202230/09/2023
Flujo de caja operativo395.002,494.00624.001,975.001,002.00
Taxation-8.00-12.00-27.00-59.00-48.00
Investing Activities3,952.00-737.00465.00-1,368.00-869.00
Net Outflow/Inflow4,339.001,745.001,062.00548.0085.00
Financing-542.00-3,062.00-623.001,810.00-1,023.00
Variación neta de tesorería3,797.00-1,317.00439.002,358.00-938.00
Foreign Exchange Adjustments-----
Opening Balance7,334.0011,131.009,814.0010,253.0012,611.00
Closing Balance11,131.009,814.0010,253.0012,611.0011,673.00
Investment Ratios
Cash Flow PS p27.37172.3641.37132.6969.18
CAPEX PS p-10.61-6.39-7.35-4.57-1.45

GBP en Millions except per share data.

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