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Share Name | Share Symbol | Market | Type | Share ISIN | Share Description |
---|---|---|---|---|---|
Wise Plc | LSE:WISE | London | Ordinary Share | GB00BL9YR756 | CLS A ORD GBP0.01 |
Price Change | % Change | Share Price | Bid Price | Offer Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|---|---|
9.00 | 1.15% | 789.00 | 787.00 | 788.00 | 793.00 | 776.00 | 785.00 | 1,173,091 | 16:35:07 |
Industry Sector | Turnover | Profit | EPS - Basic | PE Ratio | Market Cap |
---|---|---|---|---|---|
Short-term Bus Credit, Ex Ag | 856.8M | 114M | 0.1112 | 70.86 | 8.08B |
TIDMWISE
RNS Number : 9136T
Wise PLC
29 November 2021
Wise plc
29 November 2021
Release of unaudited historic financial information
Wise is today releasing selected historic consolidated financial statements on an unaudited half yearly basis for the year ended 31 March 2021.
Enquiries
Martin Adams - Head of Owner Relations
martin.adams@wise.com
Condensed consolidated statement of comprehensive income (unaudited)
Year ended Half-year ended Half-year ended 31 March 30 September 31 March 2021 2020 2021 Revenue 421.0 192.2 228.8 Cost of sales (151.7) (71.8) (79.9) Net credit losses on financial assets (8.8) (1.2) (7.6) Gross profit 260.5 119.2 141.3 Administrative expenses (217.5) (97.6) (119.9) Interest income from investments and operating assets 1.9 1.0 0.9 Interest expense from operating assets (3.8) (1.6) (2.2) Other income 3.8 1.1 2.7 Operating profit 44.9 22.1 22.8 Finance expense (3.8) (2.1) (1.7) Profit before tax 41.1 20.0 21.1 Income tax expense (10.2) (5.4) (4.8) Profit for the period 30.9 14.6 16.3 Other comprehensive income Items that may be reclassified to profit or loss: Fair value (loss)/gain on investments (3.0) 0.2 (3.2) Currency translation differences (3.8) 0.3 (4.1) Total other comprehensive (loss)/income (6.8) 0.5 (7.3) Total comprehensive income for the period 24.1 15.1 9.0
Condensed consolidated statement of financial position (unaudited)
As at 31 As at 30 As at 31 March September March 2020 2020 2021 Non-current assets Deferred tax assets 32.0 38.7 56.7 Property, plant and equipment 19.1 16.7 24.0 Intangible assets 21.3 24.4 27.5 Trade and other receivables 7.6 8.3 15.1 Total non-current assets 80.0 88.1 123.3 Current assets Current tax assets 2.1 1.7 1.1 Trade and other receivables 102.6 89.2 81.3 Short-term financial investments 114.1 289.3 737.5 Cash and cash equivalents 2,077.6 2,872.1 3,358.6 Total current assets 2,296.4 3,252.3 4,178.5 Total assets 2,376.4 3,340.4 4,301.8 Non-current liabilities Deferred tax liabilities - - 2.0 Non-current borrowings 59.6 9.0 95.2 Non-current trade and other payables 7.4 9.5 22.6 Total non-current liabilities 67.0 18.5 119.8 Current liabilities Borrowings 4.2 28.3 3.5 Current tax liabilities 0.7 0.8 2.0 Trade and other payables 2,107.7 3,051.2 3,891.2 Total current liabilities 2,112.6 3,080.3 3,896.7 Total liabilities 2,179.6 3,098.8 4,016.5 Equity Share capital 9.4 9.4 9.4 Equity merger reserve 111.1 112.0 (8.0) Share-based payment reserves 63.8 90.0 124.5 Own shares reserve - - - Other reserves 2.3 2.5 (0.7) Retained earnings 8.9 26.1 162.6 Currency translation differences 1.3 1.6 (2.5) Total equity 196.8 241.6 285.3 Total liabilities and equity 2,376.4 3,340.4 4,301.8
Condensed consolidated statement of cash flows (unaudited)
Year ended Half-year ended Half-year ended 31 March 30 September 31 March 2021 2020 2021 Cash flows from operating activities Cash generated from operations 2,076.3 1,012.0 1,064.3 Interest received 7.6 2.7 4.9 Interest expense paid (6.0) (2.7) (3.3) Corporate income tax paid (4.0) (0.8) (3.2) Net cash generated from operating activities 2,073.9 1,011.2 1,062.7 Cash flows from investing activities Payments for property, plant and equipment (2.3) (1.1) (1.2) Payment for intangible assets (20.9) (10.1) (10.8) Payments for financial assets at FVOCI (723.9) (222.7) (501.2) Proceeds from sale and maturity of financial assets at FVOCI 75.3 41.1 34.2 Net cash used in investing activities (671.8) (192.8) (479.0) Cash flows from financing activities Proceeds from issues of shares and other equity 0.9 0.9 - Proceeds from borrowings 118.6 25.0 93.6 Repayments of borrowings (90.0) (50.0) (40.0) Payments for lease liabilities (4.7) (2.4) (2.3) Net cash generated from financing activities 24.8 (26.5) 51.3 Net increase in cash and cash equivalents 1,426.9 791.9 635.0 Cash and cash equivalents at beginning of the period 2,077.6 2,077.6 2,872.1 Effects of exchange rate changes on cash and cash equivalents (145.9) 2.6 (148.5) Cash and cash equivalents at end of the period 3,358.6 2,872.1 3,358.6
Condensed consolidated statement of changes in equity (unaudited)
Share capital Equity Share-based Own shares Other reserves Retained Currency Total merger payment reserve earnings translation equity reserve reserves differences ================ ============= ======== =========== ========== ============== ========= ============ ======= At 1 April 2020 9.4 111.1 63.8 - 2.3 8.9 1.3 196.8 Profit for the period - - - - - 14.6 - 14.6 Fair value gain on investments - - - - 0.2 - - 0.2 Foreign currency translation differences - - - - - - 0.3 0.3 Total comprehensive income for the period - - - - 0.2 14.6 0.3 15.1 ================ ============= ======== =========== ========== ============== ========= ============ ======= Share-based employee compensation expense - - 18.0 - - - - 18.0 Deferred tax on share-based compensation - - 10.8 - - - - 10.8 Share options exercises - 0.9 (2.6) - - 2.6 - 0.9 At 30 September 2020 9.4 112.0 90.0 - 2.5 26.1 1.6 241.6 ================ ============= ======== =========== ========== ============== ========= ============ ======= Profit for the period - - - - - 16.3 - 16.3 Fair value loss on investments - - - - (3.2) - - (3.2) Foreign currency translation differences - - - - - - (4.1) (4.1) Total comprehensive income for the period - - - - (3.2) 16.3 (4.1) 9.0 ================ ============= ======== =========== ========== ============== ========= ============ ======= Reduction of share capital - (120.0) - - - 120.0 - - Share-based employee compensation expense - - 18.9 - - - - 18.9 Deferred tax on share-based
compensation - - 15.8 - - - - 15.8 Share options exercises - - (0.2) - - 0.2 - - At 31 March 2021 9.4 (8.0) 124.5 - (0.7) 162.6 (2.5) 285.3 ================ ============= ======== =========== ========== ============== ========= ============ =======
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November 29, 2021 08:24 ET (13:24 GMT)
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