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OFFON

MarketScreener Homepage  >  Equities  >  London Stock Exchange  >  Pearson plc    PSON   GB0006776081

PEARSON PLC

(PSON)
  Report  
Delayed Quote. Delayed London Stock Exchange - 11/15 11:35:10 am
678.4 GBp   -1.19%
11/13PEARSON : publishes third global tax report
PU
11/13VALE S A : A Mining Town Buried in Mud Is Awash in Cash. It -2-
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11/13A Mining Town Buried in Mud Is Awash in Cash. It Will Soon Run Out.
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SummaryQuotesChartsNewsRatingsCalendarCompanyFinancialsConsensusRevisions 
Income Statement Evolution
Annual Income Statement Data
Actuals in M GBP Estimates in M GBP
Fiscal Period December 2016 2017 2018 2019 (e) 2020 (e) 2021 (e)
Sales 4 552 4 513 4 129 3 904 3 964 3 953
EBITDA 785 738 699 742 758 765
Operating profit (EBIT) 635 576 546 580 617 628
Pre-Tax Profit (EBT) -2 557 421 498 368 465 450
Net income -2 337 406 588 223 329 306
P/E ratio -2,85x 14,7x 12,4x 24,5x 15,0x 14,6x
EPS ( GBp ) -287 49,9 75,6 27,7 45,1 46,3
Dividend per Share ( GBp ) 52,0 17,0 18,5 19,8 21,1 21,8
Yield 6,35% 2,31% 1,97% 2,92% 3,10% 3,21%
Reference price ( GBp ) 818,500 736,000 938,400 678,400 678,400 678,400
Announcement Date 02/24/2017
07:00am
02/23/2018
07:00am
02/22/2019
07:04am
- - -
Finances - Leverage
Actuals in M GBP Estimates in M GBP
Fiscal Period December 2016 2017 2018 2019 (e) 2020 (e) 2021 (e)
Debt 1 263 432 143 420 115 -
Finance - - - - - 24,9
Operating income (EBITDA) 785 738 699 742 758 765
Leverage
(Debt/EBITDA)
1,61x 0,59x 0,20x 0,57x 0,15x -
Capital Expenditure 245 232 200 191 196 187
Free Cash Flow (FCF) 165 66,0 262 257 397 403
Book Value Per Share (BVPS) ( GBp ) 533 493 580 565 582 598
Cash Flow per Share ( GBp ) 50,3 36,6 59,3 62,5 69,7 84,4
Announcement Date 02/24/2017
07:00am
02/23/2018
07:00am
02/22/2019
07:04am
- - -
Balance Sheet Analysis
Assessed data source
© 2019 S&P Global Market Intelligence
Financial Ratios

Size 2019e 2020e
Capitalization 5 284 M GBP -
Entreprise Value (EV) 5 703 M GBP 5 399 M GBP
Valuation 2019e 2020e
P/E ratio (Price / EPS) 24,5x 15,0x
Capitalization / Revenue 1,35x 1,33x
EV / Revenue 1,46x 1,44x
EV / EBITDA 7,68x 7,53x
Yield (DPS / Price) 2,92% 3,10%
Price to book (Price / BVPS) 1,20x 1,17x
Profitability 2019e 2020e
Operating Margin (EBIT / Sales) 14,9% 15,6%
Operating Leverage (Delta EBIT / Delta Sales) - 4,14x
Net Margin (Net Profit / Revenue) 5,72% 8,30%
ROA (Net Profit / Asset) 4,06% 5,08%
ROE (Net Profit / Equities) 8,03% 8,53%
Rate of Dividend 71,5% 46,7%
Balance Sheet Analysis 2019e 2020e
CAPEX / Sales   4,89% 4,95%
Cash Flow / Sales 12,5% 13,7%
Capital Intensity (Assets / Sales) 1,41x 1,63x
Financial Leverage (Net Debt / EBITDA) 0,57x 0,15x
EPS & Dividend