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Iomart Group Plc

Iomart Group Plc (IOM)

131.00
0.00
( 0.00% )
Updated: 03:03:29

Income Statement

Balance Sheet

Cash Flow

Year End March 30 2024 20172018201920202021202220232024
GBP (£)GBP (£)GBP (£)GBP (£)GBP (£)GBP (£)GBP (£)GBP (£)
Total Assets 143.5M174.21M191.02M224.95M228.48M208.34M218.68M230.87M
Total Current Assets 23.99M28M30.86M38.73M46.25M37.58M40.61M42.22M
Cash and Equivalents 8.91M9.5M10.07M15.5M23.04M15.33M13.82M15.76M
Total Non-Current Assets 93.52M98.47M104.4M111.99M116.57M118.89M120.56M123.4M
Total Liabilities 49.99M75.74M86.62M112.95M111.91M89.45M98.12M107.47M
Total Current Liabilities 46.65M72.14M35.61M37.46M32.93M29.79M39.28M41.12M
Total Non-Current Liabilities 3.96M4.1M99.97M145.6M153.2M112.72M109.05M121.93M
Total Equity 93.52M98.47M104.4M111.99M116.57M118.89M120.56M123.4M
Common Equity 1.08M1.08M1.09M1.09M1.1M1.1M1.11M1.12M
Retained Earnings 65.32M70.09M75.73M82.59M86.91M89.2M90.8M91.66M

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