Jaguar Land Rover

Created with Highcharts 6.0.4Sales and Profits (GBP mil)SalesNet ProfitJun 2015Sep 2015Dec 2015Mar 2016Jun 2016Sep 2016Dec 2016Mar 2017Jun 2017Sep 2017Dec 2017Mar 2018Jun 2018Sep 2018Dec 2018Mar 2019Jun 2019Sep 2019Dec 2019Mar 20204k5k6k7k8k-4k-2k02k

Jaguar Land Rover's net profit fell 558% yoy to GBP -540 mil in 1Q2020

By Helgi Library - September 25, 2020

Jaguar Land Rover made a net profit of GBP -540 mil with revenues of GBP 5,426 mil in 1Q2020, down by 558% and down by 23...

Jaguar Land Rover's net profit fell 558% yoy to GBP -540 mil in 1Q2020

By Helgi Library - September 25, 2020

Jaguar Land Rover made a net profit of GBP -540 mil with revenues of GBP 5,426 mil in 1Q2020, down by 558% and down by 23...

Jaguar Land Rover's Cash & Cash Equivalents remain unchanged yoy at GBP mil in 1Q2020

By Helgi Library - October 12, 2020

Jaguar Land Rover's total assets reached GBP 24,104 mil at the end of 1Q2020, up 4.49% compared to the previous year. ...

Profit Statement Sep 2019 Dec 2019 Mar 2020
Sales GBP mil 6,086 6,398 5,426
Gross Profit GBP mil 2,366 2,257 1,884
EBITDA GBP mil 750 752 334
EBIT GBP mil 246 299 -156
Financing Cost GBP mil 70.0 73.0 84.0
Pre-Tax Profit GBP mil 156 318 -501
Net Profit GBP mil 100 372 -540
Dividends GBP mil 0 0 0
Balance Sheet Sep 2019 Dec 2019 Mar 2020
Total Assets GBP mil 22,956 23,786 24,104
Non-Current Assets GBP mil 14,454 14,792 15,270
Current Assets GBP mil 8,502 8,994 8,834
Working Capital GBP mil -1,791 -1,775 578
Shareholders' Equity GBP mil 5,464 6,332 6,556
Liabilities GBP mil 17,492 17,454 17,548
Total Debt GBP mil 5,145 6,078 5,811
Net Debt GBP mil 2,131 1,994 2,017
Ratios Sep 2019 Dec 2019 Mar 2020
ROE % 7.24 25.2 -33.5
ROCE % 3.21 11.6 -15.0
Gross Margin % 38.9 35.3 34.7
EBITDA Margin % 12.3 11.8 6.16
EBIT Margin % 4.04 4.67 -2.88
Net Margin % 1.64 5.81 -9.95
Net Debt/EBITDA -1.74 0.890 1.00
Net Debt/Equity % 39.0 31.5 30.8
Cost of Financing % 5.48 5.20 5.65
Cash Flow Sep 2019 Dec 2019 Mar 2020
Total Cash From Operations GBP mil 749 828 636
Total Cash From Investing GBP mil -741 -1,851 -90.0
Total Cash From Financing GBP mil -100 1,136 -283
Net Change In Cash GBP mil -74.0 20.0 356
Cash Conversion Cycle days -50.2 -47.8 6.89
Cash Earnings GBP mil 334 606 -309
Free Cash Flow GBP mil 8.00 -1,023 546

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