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US English
9.425
2.33%
Market Trading Hours* (UTC) Opens on Wednesday at 07:00

Mon - Fri: 07:00 - 15:30

  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
Trading сonditions
Spread 0.120
Long position overnight fee

Long position overnight fee


Margin. Your investment $1,000.00
Overnight fee -0.025289 %
Charges from full value of position ($-4.80)
Trade size with leverage ~ $20,000.00
Money from leverage ~ $19,000.00

Go to platform
-0.025289%
Short position overnight fee

Short position overnight fee


Margin. Your investment $1,000.00
Overnight fee 0.003372 %
Charges from full value of position ($0.64)
Trade size with leverage ~ $20,000.00
Money from leverage ~ $19,000.00

Go to platform
0.003372%
Overnight fee time 21:00 (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

Grafton Group 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* 9.65
Open* 9.365
1-Year Change* 8.77%
Day's Range* 9.365 - 9.58
52 wk Range 7.37-10.02
Average Volume (10 days) 560.30K
Average Volume (3 months) 9.03M
Market Cap 1.91B
P/E Ratio 12.01
Shares Outstanding 204.88M
Revenue 2.34B
EPS 0.77
Dividend (Yield %) 3.62513
Beta 1.92
Next Earnings Date Mar 7, 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
Apr 15, 2024 9.650 0.130 1.37% 9.520 9.865 9.400
Apr 12, 2024 9.705 -0.070 -0.72% 9.775 9.880 9.635
Apr 11, 2024 9.745 0.085 0.88% 9.660 9.755 9.455
Apr 10, 2024 9.905 0.315 3.28% 9.590 10.095 9.580
Apr 9, 2024 9.805 0.070 0.72% 9.735 9.965 9.705
Apr 8, 2024 9.855 0.040 0.41% 9.815 9.950 9.775
Apr 5, 2024 9.815 -0.010 -0.10% 9.825 9.895 9.635
Apr 4, 2024 9.865 0.000 0.00% 9.865 9.985 9.840
Apr 3, 2024 9.765 -0.045 -0.46% 9.810 9.860 9.585
Apr 2, 2024 9.745 -0.255 -2.55% 10.000 10.090 9.635
Mar 28, 2024 10.010 0.135 1.37% 9.875 10.020 9.775
Mar 27, 2024 9.905 -0.055 -0.55% 9.960 10.100 9.780
Mar 26, 2024 9.995 0.165 1.68% 9.830 10.005 9.745
Mar 25, 2024 9.875 0.020 0.20% 9.855 9.900 9.705
Mar 22, 2024 9.875 -0.035 -0.35% 9.910 9.975 9.810
Mar 21, 2024 9.940 0.075 0.76% 9.865 9.940 9.780
Mar 20, 2024 9.715 0.000 0.00% 9.715 9.790 9.610
Mar 19, 2024 9.710 -0.065 -0.66% 9.775 9.780 9.610
Mar 18, 2024 9.750 -0.125 -1.27% 9.875 9.890 9.655
Mar 15, 2024 9.785 0.060 0.62% 9.725 9.850 9.710

Grafton Group PLC Events

Time (UTC) Country Event
Thursday, May 2, 2024

Time (UTC)

09:30

Country

IE

Event

Grafton Group PLC Annual Shareholders Meeting
Grafton Group PLC Annual Shareholders Meeting

Forecast

-

Previous

-
Thursday, August 29, 2024

Time (UTC)

06:00

Country

IE

Event

Half Year 2024 Grafton Group PLC Earnings Release
Half Year 2024 Grafton Group PLC Earnings Release

Forecast

-

Previous

-
View all events
  • Annual
  • Quarterly
2022 2021 2020 2019 2018
Total revenue 2301.48 2109.91 1679.25 2672.28 2603.12
Revenue 2301.48 2109.91 1679.25 2672.28 2603.12
Cost of Revenue, Total 1432.83 1279 1045.55 1756.75 1714.81
Gross Profit 868.654 830.907 633.696 915.53 888.306
Total Operating Expense 2037.22 1840.75 1521.43 2474.5 2422.59
Selling/General/Admin. Expenses, Total 513.103 473.642 382.258 610.542 663.972
Depreciation / Amortization 114.608 100.377 89.448 114.771 46.061
Unusual Expense (Income) -23.323 -12.274 4.175 -7.566 -2.256
Operating Income 264.266 269.162 157.815 197.783 180.529
Interest Income (Expense), Net Non-Operating -12.475 -18.982 -23.899 -24.731 -5.624
Other, Net -0.108 -0.383 -0.339 -0.411 -0.503
Net Income Before Taxes 251.683 249.797 133.577 172.641 174.402
Net Income After Taxes 208.618 206.845 109.428 143.924 144.783
Minority Interest
Net Income Before Extra. Items 208.618 206.845 109.428 143.924 144.783
Net Income 208.618 341.267 107.542 119.232 150.403
Income Available to Common Excl. Extra. Items 208.618 206.845 109.428 143.924 144.783
Income Available to Common Incl. Extra. Items 208.618 341.267 107.542 119.232 150.403
Dilution Adjustment 0 0
Diluted Net Income 208.618 341.267 107.542 119.232 150.403
Diluted Weighted Average Shares 233.941 239.773 238.462 238.583 238.291
Diluted EPS Excluding Extraordinary Items 0.89176 0.86267 0.45889 0.60325 0.60759
Dividends per Share - Common Stock Primary Issue 0.33 0.305 0.145 0.19 0.18
Diluted Normalized EPS 0.80912 0.82028 0.47323 0.57904 0.65588
Total Extraordinary Items 0 134.422 -1.886 -24.692 5.62
Jun 2023 Dec 2022 Jun 2022 Dec 2021 Jun 2021
Total revenue 1189.32 1148.64 1152.85 1082.12 1027.79
Revenue 1189.32 1148.64 1152.85 1082.12 1027.79
Total Operating Expense 1094.98 1024.44 1012.77 965.084 875.663
Depreciation / Amortization 10.382 10.067 10.228 7.81
Unusual Expense (Income) -1.147 -6.863 -18.518 -1.322 -15.418
Other Operating Expenses, Total 1085.75 1021.24 1021.06 966.406 883.271
Operating Income 94.339 124.191 140.075 117.038 152.124
Interest Income (Expense), Net Non-Operating -0.565 -4.849 -7.626 -10.003 -8.979
Other, Net -0.215 -0.043 -0.065 -0.122 -0.261
Net Income Before Taxes 93.559 119.299 132.384 106.913 142.884
Net Income After Taxes 74.784 99.184 109.434 90.816 116.029
Net Income Before Extra. Items 74.784 99.184 109.434 90.816 116.029
Total Extraordinary Items 0 0 19.035 115.387
Net Income 74.784 99.184 109.434 109.851 231.416
Income Available to Common Excl. Extra. Items 74.784 99.184 109.434 90.816 116.029
Income Available to Common Incl. Extra. Items 74.784 99.184 109.434 109.851 231.416
Dilution Adjustment
Diluted Net Income 74.784 99.184 109.434 109.851 231.416
Diluted Weighted Average Shares 218.96 228.849 239.032 239.916 239.63
Diluted EPS Excluding Extraordinary Items 0.34154 0.4334 0.45782 0.37853 0.4842
Dividends per Share - Common Stock Primary Issue 0.1 0.2375 0 0.22 0.085
Diluted Normalized EPS 0.33735 0.40847 0.39378 0.38847 0.43195
  • Annual
  • Quarterly
2022 2021 2020 2019 2018
Total Current Assets 1383.54 1428.66 1132.89 1071.02 1035.93
Cash and Short Term Investments 711.721 844.663 456.028 348.787 222.984
Cash & Equivalents 711.721 844.663 456.028 348.787 222.984
Total Receivables, Net 267.89 233.698 337.245 388.32 451.245
Accounts Receivable - Trade, Net 179.481 153.155 238.15 262.1 306.569
Total Inventory 399.565 344.172 321.558 317.632 350.061
Other Current Assets, Total 4.364 6.125 18.058 16.281 11.644
Total Assets 2986.83 2953.27 2982.27 2878.73 2309.61
Property/Plant/Equipment, Total - Net 774.517 740.549 999.461 1023.17 521.631
Property/Plant/Equipment, Total - Gross 1099.43 1031.68 1334.79 1318.47 836.761
Accumulated Depreciation, Total -324.909 -291.13 -335.331 -295.302 -315.13
Goodwill, Net 635.751 599.81 704.064 657.845 646.198
Intangibles, Net 153.712 144.327 115.905 103.268 79.809
Long Term Investments 26.213 26.653 12.456 12.653 15.171
Other Long Term Assets, Total 12.647 12.389 15.485 8.356 10.864
Total Current Liabilities 507.286 578.666 634.501 603.984 652.088
Accounts Payable 266.204 270.862 402.081 393.927 460.778
Accrued Expenses 148.13 143.699 137.574 111.653 140.221
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 60.105 136.954 57.915 55.368 0.767
Other Current Liabilities, Total 32.847 27.151 36.931 43.036 50.322
Total Liabilities 1241.25 1233.67 1515.25 1516.08 1013.07
Total Long Term Debt 642.7 568.671 753.049 827.26 275.25
Long Term Debt 253.502 172.601 274.03 339.261 273.476
Capital Lease Obligations 389.198 396.07 479.019 487.999 1.774
Deferred Income Tax 61.011 56.402 54.399 47.109 42.444
Minority Interest
Other Liabilities, Total 30.257 29.929 73.303 37.724 43.283
Total Equity 1745.58 1719.6 1467.02 1362.65 1296.54
Common Stock 7.87 8.57 8.569 8.516 8.514
Additional Paid-In Capital 230.622 231.284 223.21 226.608 224.65
Retained Earnings (Accumulated Deficit) 1412.44 1414.38 1144.55 1048.32 974.892
Treasury Stock - Common -5.185 -3.897 -3.897 -3.897 -3.897
Unrealized Gain (Loss) 12.375 12.519 12.733 12.954 13.146
Other Equity, Total 87.455 56.743 81.854 70.151 79.237
Total Liabilities & Shareholders’ Equity 2986.83 2953.27 2982.27 2878.73 2309.61
Total Common Shares Outstanding 223.401 239.572 239.036 237.808 237.766
Note Receivable - Long Term 0.453 0.881 2.015 2.417
Jun 2023 Dec 2022 Jun 2022 Dec 2021 Jun 2021
Total Current Assets 1329.87 1383.54 1474.76 1428.66 1517.12
Cash and Short Term Investments 640.051 711.721 782.72 844.663 460.428
Cash & Equivalents 640.051 711.721 782.72 844.663 460.428
Total Receivables, Net 293.234 267.89 287.361 233.698 804.107
Accounts Receivable - Trade, Net 293.039 267.694 287.149 233.486 804.081
Total Inventory 391.53 399.565 399.209 344.172 245.491
Other Current Assets, Total 5.059 4.364 5.471 6.125 7.097
Total Assets 2900.3 2986.83 3045.64 2953.27 2928.93
Property/Plant/Equipment, Total - Net 761.434 774.517 749.922 740.549 718.007
Goodwill, Net 625.756 635.751 625.434 599.81 570.132
Intangibles, Net 141.562 153.712 158.566 144.327 81.506
Long Term Investments 24.674 26.213 22.067 26.653 27.618
Note Receivable - Long Term 0.361 0.453 0.528 0.881 0.259
Other Long Term Assets, Total 16.639 12.647 14.364 12.389 14.284
Total Current Liabilities 563.986 507.286 685.361 578.666 539.293
Payable/Accrued 477.581 420.653 480.171 419.111 461.812
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 60.644 60.105 181.86 136.954 49.759
Other Current Liabilities, Total 25.761 26.528 23.33 22.601 27.722
Total Liabilities 1224.95 1241.25 1289.89 1233.67 1291.76
Total Long Term Debt 575.708 642.7 527.384 568.671 657.359
Long Term Debt 201.724 253.502 136.786 172.601 261.821
Capital Lease Obligations 373.984 389.198 390.598 396.07 395.538
Deferred Income Tax 57.895 61.011 60.649 56.402 42.301
Other Liabilities, Total 27.362 30.257 16.5 29.929 52.809
Total Equity 1675.35 1745.58 1755.75 1719.6 1637.17
Common Stock 7.476 7.87 8.388 8.57 8.583
Additional Paid-In Capital 233.692 230.622 229.424 231.284 226.651
Retained Earnings (Accumulated Deficit) 1361.55 1412.44 1445.01 1414.38 1325.55
Treasury Stock - Common -6.438 -5.185 -7.526 -3.897 -3.897
Unrealized Gain (Loss) 12.286 12.375 12.434 12.519 12.631
Other Equity, Total 66.786 87.455 68.02 56.743 67.651
Total Liabilities & Shareholders’ Equity 2900.3 2986.83 3045.64 2953.27 2928.93
Total Common Shares Outstanding 214.296 223.401 235.113 239.572 239.036
  • Annual
  • Quarterly
2022 2021 2020 2019 2018
Net income/Starting Line 251.683 249.797 132.738 172.641 181.325
Cash From Operating Activities 217.342 239.033 316.333 233.473 178.281
Cash From Operating Activities 94.313 97.894 107.212 105.137 41.875
Amortization 20.295 17.184 14.146 9.634 7.118
Non-Cash Items -16.268 2.473 42.432 26.985 7.043
Cash Taxes Paid 39.529 43.722 34.087 31.752 24.299
Cash Interest Paid 21.879 20.464 27.272 25.911 6.628
Changes in Working Capital -132.681 -128.315 19.805 -80.924 -59.08
Cash From Investing Activities -70.582 353.219 -76.691 -60.089 -122.594
Capital Expenditures -57.84 -44.443 -37.075 -52.434 -73.572
Other Investing Cash Flow Items, Total -12.742 397.662 -39.616 -7.655 -49.022
Cash From Financing Activities -289.54 -193.097 -141.2 -45.944 -87.071
Total Cash Dividends Paid -73.868 -84.921 0 -43.986 -38.598
Issuance (Retirement) of Stock, Net -140.407 2.974 2.83 -5.789 1.283
Issuance (Retirement) of Debt, Net -75.265 -111.15 -144.03 3.831 -49.756
Foreign Exchange Effects 9.838 -10.52 8.799 -1.637 0.709
Net Change in Cash -132.942 388.635 107.241 125.803 -30.675
Financing Cash Flow Items 0
Dec 2022 Jun 2022 Dec 2021 Jun 2021 Dec 2020
Net income/Starting Line 251.683 132.384 249.797 142.884 132.738
Cash From Operating Activities 217.342 105.871 239.033 220.184 316.333
Cash From Operating Activities 94.313 45.377 97.894 53.872 107.212
Amortization 20.295 10.228 17.184 7.81 14.146
Non-Cash Items -16.268 -10.355 2.473 13.044 42.432
Cash Taxes Paid 39.529 21.861 43.722 24.715 34.087
Cash Interest Paid 21.879 10.208 20.464 10.402 27.272
Changes in Working Capital -132.681 -71.763 -128.315 2.574 19.805
Cash From Investing Activities -70.582 -41.954 353.219 -116.596 -76.691
Capital Expenditures -57.84 -22.355 -44.443 -17.641 -37.075
Other Investing Cash Flow Items, Total -12.742 -19.599 397.662 -98.955 -39.616
Cash From Financing Activities -289.54 -129.892 -193.097 -92.492 -141.2
Total Cash Dividends Paid -73.868 -52.731 -84.921 -64.577 0
Issuance (Retirement) of Stock, Net -140.407 -49.812 2.974 1.455 2.83
Issuance (Retirement) of Debt, Net -75.265 -27.349 -111.15 -29.37 -144.03
Foreign Exchange Effects 9.838 4.032 -10.52 -6.696 8.799
Net Change in Cash -132.942 -61.943 388.635 4.4 107.241

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Grafton Group Company profile

Grafton Group PLC (GFTU) is a publicly quoted building materials distributor operating in the UK, Ireland, Belgium, and the Netherlands. The business has established strong market positions in builders merchanting, mortar manufacturing, and DIY retailing on both regional and national levels. The Grafton’s business portfolio includes a number of famous market leading brands, such as the Woodies, Buildbase, Civils and Lintels, Plumbase, and Selco. It also runs a few businesses exclusively devoted to selling online. The Grafton Group share price is listed on the London Stock Exchange and included in the FTSE 250 Index. In 1902, the company was founded by William Chadwick under the name Chadwicks (Dublin) Ltd. Ever since then it has been continuously growing. In 2018 alone, the company’s revenue was more than €2.95 billion. Check out Capital.com for the latest GFTU share price chart.
Industry: Construction Supplies & Fixtures Wholesale

Heron House
Corrig Road
DUBLIN
DUBLIN D18 Y2X6
IE

Income Statement

  • Annual
  • Quarterly

News

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12:42, 15 March 2024

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