CFDs are complex instruments and come with a high risk of losing money rapidly due to leverage. 78.1% of retail investor accounts lose money when trading CFDs with this provider. You should consider whether you understand how CFDs work and whether you can afford to take the high risk of losing your money.
US English
57.60
0.09%
Market Trading Hours* (UTC) Opens on Wednesday at 08:00

Mon - Fri: 08:00 - 12:00 12:03 - 16:30

  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
  • Ownership
Trading сonditions
Spread 0.75
Long position overnight fee

Long position overnight fee


Margin. Your investment $1,000.00
Overnight fee -0.02526 %
Charges from full value of position ($-4.80)
Trade size with leverage ~ $20,000.00
Money from leverage ~ $19,000.00

Go to platform
-0.02526%
Short position overnight fee

Short position overnight fee


Margin. Your investment $1,000.00
Overnight fee 0.003343 %
Charges from full value of position ($0.64)
Trade size with leverage ~ $20,000.00
Money from leverage ~ $19,000.00

Go to platform
0.003343%
Overnight fee time 22:00 (UTC)
Min traded quantity 1
Currency GBP
Margin 5%
Stock exchange United Kingdom of Great Britain and Northern Ireland
Commission on trade 0%

*Information provided by Capital.com

DCC PLC ESG Risk Ratings

High Medium Low Negligible

‘B’ score indicates good relative ESG performance and above average degree of transparency in reporting material ESG data publicly.

More ESG coverage

Key Stats
Prev. Close* 57.65
Open* 57.5
1-Year Change* 25.55%
Day's Range* 57.35 - 58.25
52 wk Range 41.45-58.39
Average Volume (10 days) 232.05K
Average Volume (3 months) 4.37M
Market Cap 5.58B
P/E Ratio 16.93
Shares Outstanding 98.85M
Revenue 20.98B
EPS 3.33
Dividend (Yield %) 3.37013
Beta 0.95
Next Earnings Date May 14, 2024

All data is provided by Refinitiv, except for data marked with an asterisk, which is *data provided by Capital.com

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Close Change Change (%) Open High Low
Feb 20, 2024 57.60 0.40 0.70% 57.20 58.25 57.20
Feb 19, 2024 57.65 0.45 0.79% 57.20 57.70 56.70
Feb 16, 2024 57.20 0.45 0.79% 56.75 57.30 56.50
Feb 15, 2024 56.30 0.05 0.09% 56.25 56.90 55.90
Feb 14, 2024 55.90 1.05 1.91% 54.85 56.45 54.85
Feb 13, 2024 55.20 -1.65 -2.90% 56.85 56.95 54.80
Feb 12, 2024 56.70 -1.00 -1.73% 57.70 58.00 56.65
Feb 9, 2024 57.40 0.10 0.17% 57.30 57.85 57.10
Feb 8, 2024 57.55 0.05 0.09% 57.50 58.20 57.30
Feb 7, 2024 57.45 0.20 0.35% 57.25 58.10 56.50
Feb 6, 2024 56.85 -0.45 -0.79% 57.30 57.65 56.70
Feb 5, 2024 56.95 -1.05 -1.81% 58.00 58.00 56.95
Feb 2, 2024 57.25 -0.95 -1.63% 58.20 58.30 57.25
Feb 1, 2024 57.55 0.70 1.23% 56.85 58.35 56.80
Jan 31, 2024 56.80 -0.65 -1.13% 57.45 57.75 56.80
Jan 30, 2024 57.00 0.10 0.18% 56.90 57.90 56.70
Jan 29, 2024 56.90 -0.50 -0.87% 57.40 57.45 56.65
Jan 26, 2024 57.40 0.50 0.88% 56.90 57.65 56.65
Jan 25, 2024 56.70 0.35 0.62% 56.35 57.35 56.35
Jan 24, 2024 56.80 0.00 0.00% 56.80 57.00 56.25

DCC PLC Events

Time (UTC) Country Event
Friday, July 12, 2024

Time (UTC)

13:00

Country

IE

Event

DCC PLC Annual Shareholders Meeting
DCC PLC Annual Shareholders Meeting

Forecast

-

Previous

-
View all events
  • Annual
  • Quarterly
2023 2022 2021 2020 2019
Total revenue 22204.8 17732 13412.5 14755.4 15226.9
Revenue 22204.8 17732 13412.5 14755.4 15226.9
Cost of Revenue, Total 19800.1 15694.3 11593 13015.4 13589.3
Gross Profit 2404.73 2037.67 1819.48 1739.97 1637.64
Total Operating Expense 21692.9 17273.7 12989.6 14388.7 14857.9
Selling/General/Admin. Expenses, Total 1794.31 1476.15 1308.52 1277.26 1209.72
Depreciation / Amortization 111.146 84.34 66.898 62.138 63.312
Interest Expense (Income) - Net Operating 0.298 -0.126 0.739 0.052 -0.161
Unusual Expense (Income) 20.182 39.253 35.232 59.882 28.185
Other Operating Expenses, Total -33.194 -20.304 -14.754 -25.998 -32.447
Operating Income 511.988 458.36 422.85 366.644 369.025
Interest Income (Expense), Net Non-Operating -73.494 -43.355 -47.941 -44.439 -30.899
Other, Net -6.93 -9.269 -9.828 -10.72 -10.692
Net Income Before Taxes 431.564 405.736 365.081 311.485 327.434
Net Income After Taxes 346.802 326.002 302.803 254.15 271.132
Minority Interest -12.78 -13.629 -10.184 -8.641 -8.539
Net Income Before Extra. Items 334.022 312.373 292.619 245.509 262.593
Total Extraordinary Items 0
Net Income 334.022 312.373 292.619 245.509 262.593
Income Available to Common Excl. Extra. Items 334.022 312.373 292.619 245.509 262.593
Income Available to Common Incl. Extra. Items 334.022 312.373 292.619 245.509 262.593
Diluted Net Income 334.022 312.373 292.619 245.509 262.593
Diluted Weighted Average Shares 98.811 98.739 98.65 98.514 93.874
Diluted EPS Excluding Extraordinary Items 3.38041 3.16362 2.96623 2.49212 2.79729
Dividends per Share - Common Stock Primary Issue 1.2717 1.7578 1.598 1.4527 1.3835
Diluted Normalized EPS 3.61263 3.57637 3.36498 3.13271 3.06699
Dilution Adjustment 0
Mar 2023 Sep 2022 Mar 2022 Sep 2021 Mar 2021
Total revenue 11367.7 10837.1 10213.7 7518.33 7481.36
Revenue 11367.7 10837.1 10213.7 7518.33 7481.36
Cost of Revenue, Total 10040.5 9759.62 9072.62 6621.72 6452.23
Gross Profit 1327.22 1077.51 1141.07 896.607 1029.13
Total Operating Expense 11017.5 10675.4 9896.24 7377.42 7189.37
Selling/General/Admin. Expenses, Total 922.277 864.875 771.328 711.289 688.857
Depreciation / Amortization 60.741 50.405 47.774 36.566 36.364
Unusual Expense (Income) 23.483 9.045 28.229 18.305 25.792
Other Operating Expenses, Total -29.542 -8.54 -23.715 -10.463 -13.874
Operating Income 350.265 161.723 317.45 140.91 291.989
Interest Income (Expense), Net Non-Operating -51.038 -29.386 -26.682 -25.942 -28.986
Net Income Before Taxes 299.227 132.337 290.768 114.968 263.003
Net Income After Taxes 241.593 105.209 235.307 90.695 219.205
Minority Interest -5.097 -7.683 -7.441 -6.188 -5.2
Net Income Before Extra. Items 236.496 97.526 227.866 84.507 214.005
Net Income 236.496 97.526 227.866 84.507 214.005
Income Available to Common Excl. Extra. Items 236.496 97.526 227.866 84.507 214.005
Income Available to Common Incl. Extra. Items 236.496 97.526 227.866 84.507 214.005
Diluted Net Income 236.496 97.526 227.866 84.507 214.005
Diluted Weighted Average Shares 98.877 98.745 98.824 98.654 98.666
Diluted EPS Excluding Extraordinary Items 2.39182 0.98766 2.30578 0.8566 2.16898
Dividends per Share - Common Stock Primary Issue 1.2717 0.61052 1.1993 0.5585 1.0785
Diluted Normalized EPS 2.66231 1.07421 2.60848 1.04028 2.47428
  • Annual
  • Quarterly
2023 2022 2021 2020 2019
Total Current Assets 4986.08 5143.91 4202.06 4105.24 3817.59
Cash and Short Term Investments 1421.75 1394.27 1786.56 1794.47 1554.09
Cash 603.699 904.036 594.119 616.229 526.546
Cash & Equivalents 818.05 490.236 1192.44 1178.24 1027.55
Total Receivables, Net 2015.92 2194.97 1546.84 1512.69 1390.68
Accounts Receivable - Trade, Net 1866.22 2031.65 1437.21 1391.83 1288.2
Total Inventory 1192.8 1133.67 685.95 630.996 678.006
Prepaid Expenses 296.352 313.648 142.532 134.432 126.827
Other Current Assets, Total 59.258 107.361 40.181 32.656 67.987
Total Assets 9840.78 9559.18 8034.8 7921.11 7077.62
Property/Plant/Equipment, Total - Net 1691.03 1580.9 1446.5 1393.12 996.536
Property/Plant/Equipment, Total - Gross 2903.5 2608.75 2376.94 2245.59 1757.93
Accumulated Depreciation, Total -1212.48 -1027.85 -930.44 -852.464 -761.39
Goodwill, Net 2029.62 1765.96 1527.6 1467.15 1445.15
Intangibles, Net 928.009 868.488 679.137 659.742 624.413
Long Term Investments 47.789 26.843 27.134 27.729 24.233
Other Long Term Assets, Total 158.252 173.072 152.377 268.128 169.696
Total Current Liabilities 3893.15 3762.39 2996.08 2745.9 2684.25
Accounts Payable 2170.9 2402.94 1850.1 1673.41 1664.66
Payable/Accrued 927.423 895.758 623.8 517.775 426.865
Accrued Expenses 133.895 127.737 102.77 105.13 104.914
Notes Payable/Short Term Debt 0 67.668 69.66 166.328 88.065
Current Port. of LT Debt/Capital Leases 392.014 63.538 203.606 111.347 243.508
Other Current Liabilities, Total 268.919 204.753 146.141 171.909 156.234
Total Liabilities 6862.69 6653.99 5387.37 5434.42 4686.91
Total Long Term Debt 2209.15 2206.65 1814.82 2115.46 1442.36
Long Term Debt 1933.76 1933.48 1553.2 1856 1441.9
Capital Lease Obligations 275.388 273.164 261.617 259.456 0.452
Deferred Income Tax 263.623 259.796 183.22 179.959 174.25
Minority Interest 80.219 65.379 58.21 54.765 42.821
Other Liabilities, Total 416.549 359.782 335.042 338.334 343.233
Total Equity 2978.09 2905.18 2647.43 2486.69 2390.71
Common Stock 17.422 17.422 17.422 17.422 17.422
Additional Paid-In Capital 883.669 883.321 882.924 882.887 882.561
Retained Earnings (Accumulated Deficit) 1996.75 1831.4 1673.7 1518.13 1397.89
Other Equity, Total 80.249 173.04 73.39 68.25 92.835
Total Liabilities & Shareholders’ Equity 9840.78 9559.18 8034.8 7921.11 7077.62
Total Common Shares Outstanding 98.7472 98.6459 98.5652 98.4014 98.2582
Sep 2023 Mar 2023 Sep 2022 Mar 2022 Sep 2021
Total Current Assets 4305.06 4986.08 5109.55 5143.91 4087.24
Cash and Short Term Investments 882.923 1421.75 1258.06 1394.27 1437.72
Cash & Equivalents 882.923 1421.75 1258.06 1394.27 1437.72
Total Receivables, Net 2015.68 2312.27 2218.76 2508.61 1557.23
Accounts Receivable - Trade, Net 2015.68 2312.27 2218.76 2508.61 1557.23
Total Inventory 1335.35 1192.8 1454.63 1133.67 941.545
Other Current Assets, Total 71.107 59.258 178.101 107.361 150.744
Total Assets 9226.18 9840.78 9810.57 9559.18 8115.01
Property/Plant/Equipment, Total - Net 1703.52 1691.03 1660.08 1580.9 1500.3
Goodwill, Net 2029.62 1765.96
Intangibles, Net 3050.97 928.009 2791.6 868.488 2343.53
Long Term Investments 45.77 47.789 46.864 26.843 26.891
Other Long Term Assets, Total 120.857 158.252 202.471 173.072 157.053
Total Current Liabilities 3596.87 3893.15 3928.34 3762.39 2923.29
Payable/Accrued 2944.13 3279.9 3250.56 3468.71 2548.08
Notes Payable/Short Term Debt 0 0 0 67.668 102.456
Current Port. of LT Debt/Capital Leases 448.567 392.014 445.516 63.538 104.974
Other Current Liabilities, Total 204.172 221.235 232.266 162.478 167.777
Total Liabilities 6254.14 6862.69 6804.43 6653.99 5384.85
Total Long Term Debt 1875.28 2209.15 2121.24 2206.65 1844.31
Long Term Debt 1600.67 1933.76 1851.05 1933.48 1568.45
Capital Lease Obligations 274.607 275.388 270.188 273.164 275.859
Deferred Income Tax 261.312 263.623 259.59 259.796 198.237
Minority Interest 86.789 80.219 75.661 65.379 66.582
Other Liabilities, Total 433.889 416.549 419.596 359.782 352.433
Total Equity 2972.04 2978.09 3006.14 2905.18 2730.16
Common Stock 17.422 17.422 17.422 17.422 17.422
Additional Paid-In Capital 883.873 883.669 883.652 883.321 883.318
Retained Earnings (Accumulated Deficit) 1968.22 1996.75 1818.51 1831.4 1653.21
Other Equity, Total 102.526 80.249 286.558 173.04 176.213
Total Liabilities & Shareholders’ Equity 9226.18 9840.78 9810.57 9559.18 8115.01
Total Common Shares Outstanding 98.7702 98.7472 98.6459 98.6459 98.6103
  • Annual
  • Quarterly
2023 2022 2021 2020 2019
Net income/Starting Line 346.802 326.002 302.803 254.15 271.132
Cash From Operating Activities 656.905 451.768 727.768 529.107 460.355
Cash From Operating Activities 219.681 205.78 192.572 176.734 109.626
Amortization 111.146 84.34 66.898 62.138 63.312
Non-Cash Items 173.288 150.767 134.358 150.831 91.351
Cash Taxes Paid 97.485 76.292 62.191 78.961 34.5
Cash Interest Paid 82.576 70.103 84.342 84.975 78.031
Changes in Working Capital -194.012 -315.121 31.137 -114.746 -75.066
Cash From Investing Activities -531.519 -867.427 -391.524 -319.5 -426.594
Capital Expenditures -229.44 -194.353 -162.879 -181.014 -182.311
Other Investing Cash Flow Items, Total -302.079 -673.074 -228.645 -138.486 -244.283
Cash From Financing Activities -100.16 21.489 -256.625 -15.459 476.049
Financing Cash Flow Items -58.031 24.027 63.752 18.574 0
Total Cash Dividends Paid -177.843 -160.599 -143.523 -139.212 -116.961
Issuance (Retirement) of Stock, Net 0.348 0.397 0.037 0.326 593.148
Issuance (Retirement) of Debt, Net 135.366 157.664 -176.891 104.853 -0.138
Foreign Exchange Effects 19.376 3.878 -47.496 24.597 -8.075
Net Change in Cash 44.602 -390.292 32.123 218.745 501.735
Mar 2023 Sep 2022 Mar 2022 Sep 2021 Mar 2021
Net income/Starting Line 346.802 105.209 326.002 90.695 302.803
Cash From Operating Activities 656.905 104.705 451.768 34.537 727.768
Cash From Operating Activities 219.681 105.223 205.78 101.428 192.572
Amortization 111.146 50.405 84.34 36.566 66.898
Non-Cash Items 173.288 69.413 150.767 59.233 134.358
Cash Taxes Paid 97.485 34.668 76.292 34.894 62.191
Cash Interest Paid 82.576 39.575 70.103 35.281 84.342
Changes in Working Capital -194.012 -225.545 -315.121 -253.385 31.137
Cash From Investing Activities -531.519 -135.45 -867.427 -216.649 -391.524
Capital Expenditures -229.44 -111.671 -194.353 -78.187 -162.879
Other Investing Cash Flow Items, Total -302.079 -23.779 -673.074 -138.462 -228.645
Cash From Financing Activities -100.16 -160.43 21.489 -211.276 -256.625
Financing Cash Flow Items -58.031 -8.454 24.027 30.973 63.752
Total Cash Dividends Paid -177.843 -116.911 -160.599 -106.304 -143.523
Issuance (Retirement) of Stock, Net 0.348 0.331 0.397 0.394 0.037
Issuance (Retirement) of Debt, Net 135.366 -35.396 157.664 -136.339 -176.891
Foreign Exchange Effects 19.376 42.588 3.878 11.761 -47.496
Net Change in Cash 44.602 -148.587 -390.292 -381.627 32.123
Investor Name Investor Type Percent Outstanding Shares Held Shares change Holdings Date Turnover Rating
BlackRock Investment Management (UK) Ltd. Investment Advisor/Hedge Fund 9.832 9711106 -9299 2023-05-15 LOW
Fidelity Management & Research Company LLC Investment Advisor 9.0337 8922608 399541 2023-05-15 LOW
Fidelity International Investment Advisor 5.0725 5010134 -412247 2023-01-05 LOW
Allianz Global Investors GmbH Investment Advisor 4.3676 4313872 -82542 2023-05-15 LOW
Setanta Asset Management Ltd. Investment Advisor 4.1766 4125276 -110434 2023-05-15 LOW
The Vanguard Group, Inc. Investment Advisor/Hedge Fund 4.0246 3975148 52604 2023-09-30 LOW
Columbia Threadneedle Investments (US) Investment Advisor/Hedge Fund 3.898 3850041 268927 2023-05-15 LOW
T. Rowe Price International Ltd Investment Advisor/Hedge Fund 3.1269 3088432 0 2023-05-15 LOW
Norges Bank Investment Management (NBIM) Sovereign Wealth Fund 2.3043 2275941 24416 2022-12-31 LOW
BlackRock Institutional Trust Company, N.A. Investment Advisor 2.1246 2098450 4209 2023-09-30 LOW
RBC Global Asset Management (UK) Limited Investment Advisor 1.714 1692884 -158417 2023-09-30 LOW
T. Rowe Price Associates, Inc. Investment Advisor 1.6564 1636050 -5893 2023-09-30 LOW
BlackRock Advisors (UK) Limited Investment Advisor/Hedge Fund 1.5861 1566620 33892 2023-09-30 LOW
Invesco Advisers, Inc. Investment Advisor 1.5255 1506777 -45620 2023-09-30 LOW
Royal London Asset Management Ltd. Investment Advisor/Hedge Fund 1.2295 1214380 -46561 2023-06-30 MED
Amundi Ireland Limited Investment Advisor/Hedge Fund 1.1741 1159616 6674 2023-08-31 MED
ODIN Forvaltning AS Investment Advisor 0.997 984784 0 2023-09-30 LOW
Thompson, Siegel & Walmsley LLC Investment Advisor 0.9708 958831 0 2023-09-30 LOW
Aviva Investors Global Services Limited Investment Advisor/Hedge Fund 0.924 912615 -59262 2023-08-31 LOW
Columbia Threadneedle Investments (UK) Investment Advisor/Hedge Fund 0.8768 866061 0 2023-09-30 LOW

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DCC Company profile

About DCC plc

DCC PLC is an Ireland-based international sales, marketing and support service company. The Company is operating in approximately 20 countries, supplying products and services that are used every day. The Company operates through four segments: DCC LPG, DCC Retail & Oil, DCC Healthcare and DCC Technology. DCC LPG is engaged in liquefied petroleum gas (LPG) sales and marketing business with operations in Europe, Asia and the United States (US), and a business in the retailing of natural gas and electricity in Europe. DCC Retail & Oil is engaged in sales, marketing and retailing of transport and commercial fuels, heating oils and related products and services in Europe. DCC Healthcare division is focused on healthcare business, providing products and services to healthcare providers and health and beauty brand owners. DCC Technology is a route-to-market and supply chain partner for global technology brands.

Financial summary

BRIEF: For the six months ended 30 September 2021, DCC plc revenues increased 27% to £7.52B. Net income increased 7% to £84.5M. Revenues reflect DCC Healthcare segment increase from £322M to £1.99B, DCC Retail & oil segment increase of 40% to £4.29B, Other segment increase of 30% to £2.42B, United Kingdom segment increase of 18% to £3.12B, Retail Sales-DCC Retail & Oil increase of 40% to £4.29B.

Equity composition

May 2013, Company has been delisted.

Industry: Consumer Goods Conglomerates

DCC House
Leopardstown Road
DUBLIN
DUBLIN D18 PK00
IE

Income Statement

  • Annual
  • Quarterly

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