Countryside Partnerships Key Figures
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Countryside Partnerships Balance Sheet
 Share Price PerformanceSample Period † | High | Low | 1 week | 247.00 | 219.40 |
4 weeks | 257.60 | 217.60 |
12 weeks | 309.60 | 217.60 |
1 year | 579.50 | 217.60 |
 Share Price Chart (5 years)
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Countryside Partnerships Historic ReturnsPeriod † | Open | Change | % | Open Avg. | Avg. Daily Vol [m] | Total Vol [m] | VWAP | 1 week | 232.80 | 10.20 | 4.38 | 219.40 | 2.40 | | 230.85 |
4 weeks | 248.40 | -5.40 | -2.17 | 217.60 | 2.25 | | 237.73 |
12 weeks | 283.00 | -40.00 | -14.13 | 217.60 | 2.68 | | 259.19 |
26 weeks | 447.40 | -204.40 | -45.69 | 217.60 | 2.63 | | 314.72 |
1 year | 503.00 | -260.00 | -51.69 | 217.60 | 2.04 | | 384.82 |
3 years | 325.00 | -82.00 | -25.23 | 217.60 | 1.66 | | 385.79 |
5 years | 300.30 | -57.30 | -19.08 | 217.60 | 1.68 | | 363.47 |
† periods calculated are whole weeks rather than calendar months | |
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Countryside Partnerships Key Management Ratios
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Countryside Partnerships Investment Ratios
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Countryside Partnerships Financial Ratios
Beta (60-Mnth) | Beta (36-Mnth) | 0.0351 | 0.0679 |
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Countryside Partnerships Operating Ratios
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Countryside Partnerships DividendsAnnouncement Date | Type | Curr. | Dividend Amount | Period Start | Period End | Ex Date | Record Date | Payment Date | Total Dividend Amount | 21 Nov 2019 | Final | GBX | 10.30 | 30/09/2018 | 30/09/2019 | 19/12/2019 | 20/12/2019 | 07/02/2020 | 16.30 |
16 May 2019 | Interim | GBX | 6.00 | 01/10/2018 | 31/03/2019 | 23/05/2019 | 24/05/2019 | 05/07/2019 | - |
21 Nov 2018 | Final | GBX | 6.60 | 30/09/2017 | 30/09/2018 | 20/12/2018 | 21/12/2018 | 08/02/2019 | 10.80 |
17 May 2018 | Interim | GBX | 4.20 | 01/10/2017 | 31/03/2018 | 24/05/2018 | 25/05/2018 | 06/07/2018 | - |
22 Nov 2017 | Final | GBX | 5.00 | 30/09/2016 | 30/09/2017 | 21/12/2017 | 22/12/2017 | 09/02/2018 | 8.40 |
17 May 2017 | Interim | GBX | 3.40 | 01/10/2016 | 31/03/2017 | 01/06/2017 | 02/06/2017 | 07/07/2017 | - |
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Countryside Partnerships Fundamentals |
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Countryside Partnerships Balance Sheet | 30 Sep 2018 (GBP) | | 30 Sep 2019 (GBP) | | 30 Sep 2020 (GBP) | | 30 Sep 2021 (GBP) | |
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| 30 Sep 2018 (GBP) | | 30 Sep 2019 (GBP) | | 30 Sep 2020 (GBP) | | 30 Sep 2021 (GBP) | |
ASSETS | | |  | | |  | | |  | | |  |
fixed assets | 7.90 | 0.63% |  | 12.80 | 0.92% |  | 15.10 | 0.94% |  | 97.20 | 5.59% | m |
intangibles | 169.50 | 13.62% |  | 170.90 | 12.28% |  | 169.40 | 10.52% |  | 127.90 | 7.35% | m |
fixed investments | 72.00 | 5.79% |  | 70.70 | 5.08% |  | 42.20 | 2.62% |  | 39.10 | 2.25% | m |
current assets - other | - | -% |  | - | -% |  | - | -% |  | - | -% | m |
stocks | 749.70 | 60.26% |  | 808.60 | 58.09% |  | 1,059.10 | 65.79% |  | 1,143.80 | 65.76% | m |
debtors | 197.80 | 15.90% |  | 253.30 | 18.20% |  | 223.50 | 13.88% |  | 287.90 | 16.55% | m |
cash & securities | 47.20 | 3.79% |  | 75.60 | 5.43% |  | 100.50 | 6.24% |  | 43.40 | 2.50% | m |
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TOTAL | 1,244.10 | 100% |  | 1,391.90 | 100% |  | 1,609.80 | 100% |  | 1,739.30 | 100% | m |
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LIABILITIES | | | | | | | | | | | | |
creditors - short | 340.40 | 27.36% |  | 349.10 | 25.08% |  | 361.40 | 22.45% |  | 370.00 | 21.27% | m |
creditors - long | 110.00 | 8.84% |  | 143.70 | 10.32% |  | 162.40 | 10.09% |  | 261.80 | 15.05% | m |
creditors - other | - | -% |  | - | -% |  | - | -% |  | - | -% | m |
subordinated loans | - | -% |  | - | -% |  | - | -% |  | - | -% | m |
insurance funds | - | -% |  | - | -% |  | - | -% |  | - | -% | m |
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TOTAL | 450.40 | 36.20% |  | 492.80 | 35.40% |  | 523.80 | 32.54% |  | 631.80 | 36.32% | m |
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EQUITY | | | | | | | | | | | | |
ord cap, reserves | 792.10 | 63.67% |  | 896.80 | 64.43% |  | 1,085.70 | 67.44% |  | 1,107.20 | 63.66% | m |
prefs, minorities | 1.60 | 0.13% |  | 2.30 | 0.17% |  | 0.30 | 0.02% |  | 0.30 | 0.02% | m |
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TOTAL | 793.70 | 63.80% |  | 899.10 | 64.60% |  | 1,086.00 | 67.46% |  | 1,107.50 | 63.68% | m |
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OTHER | | | | | | | | | | | | |
NAV Basic | - | |  | - | |  | - | |  | - | |  |
NAV Diluted | - | |  | - | |  | - | |  | - | |  |
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Countryside Partnerships Cash Flow Statement
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Countryside Partnerships BrokersBroker infomation is not available for this class of stock. |
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