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Safestore Accounts Summary


Date of Accounts 20232022202120212020
StandardIFRSIFRSIFRSIFRSIFRS
      
 MillionsMillionsMillionsMillionsMillions
Income Statement31-10-202331-10-202231-10-202130-10-202131-10-2020
Revenue224.20212.50186.80186.80162.30
Operating Profit / Loss230.40514.50417.00417.00212.20
Net Interest-22.60-15.70-12.40-12.40-14.30
Pre Tax Profit207.80498.80404.60404.60197.90
Post Tax Profit200.20462.90382.00382.00178.00
Profit for the Period200.20462.90382.00382.00178.00
Equity Holders of Parent Company200.20462.90382.00382.00178.00
Minority Interestsn/an/an/an/an/a
      
Continuing EPS     
Earnings per Share (Basic)92.20p219.50p181.20p1.83p84.60p
Earnings per Share (Diluted)91.80p212.40p176.40p1.78p84.00p
Earnings per Share (Adjusted)50.30p47.50p33.30p0.34p28.10p
Continuing and Discontinued EPS     
Earnings per Share (Basic)92.20p219.50p181.20p1.83p84.60p
Earnings per Share (Diluted)91.80p212.40p176.40p1.78p84.00p
Earnings per Share (Adjusted)50.30p57.50p33.30p0.34p28.10p
      
Dividend per Share30.10p29.80p25.10p25.10p18.60p
      
 MillionsMillionsMillionsMillionsMillions
Balance Sheet31-10-202331-10-202231-10-202130-10-202131-10-2020
Non-Current Assets     
Intangible Assetsn/an/an/an/an/a
Property, Plant and Equipment5.203.403.203.203.20
Investments4.101.80n/a7.20n/a
Investment Properties2,890.902,647.401,949.202,031.301,571.50
Other Financial Assets0.00n/an/a0.90n/a
Other Non-Current Assets6.600.8091.000.8082.90
Total Non-Current Assets2,906.802,653.402,043.402,043.401,657.60
      
Current Assets     
Inventories0.400.300.500.500.30
Trade and Other Receivables32.7031.2028.9028.9023.20
Cash at Bank and in Hand16.9020.9043.2043.2019.60
Current Asset Investmentsn/an/an/an/an/a
Other Current Assets0.101.701.301.300.40
Total Current Assets50.1054.1073.9073.9043.50
      
Other Assetsn/an/an/an/an/a
Total Assets2,956.902,707.502,117.302,117.301,701.10
      
Current Liabilities     
Borrowings57.60114.9012.3012.3012.30
Other Current Liabilities52.8063.5076.3076.3047.40
Total Current Liabilities110.40178.4088.6088.6059.70
      
Net Current Assetsn/an/an/an/an/a
      
Non-Current Liabilities     
Borrowings769.60604.30554.70554.70519.40
Provisions141.80131.4099.1099.1085.00
Other Non-Current Liabilitiesn/an/an/an/a1.40
Total Non-Current Liabilities911.40735.70653.80653.80605.80
      
Net Assets1,935.101,793.401,374.901,374.901,035.60
      
Capital and Reserves     
Share Capital2.202.102.102.102.10
Share Premium Account62.0061.8061.3061.3060.60
Other Reserves12.708.505.105.1014.50
Retained Earnings1,858.201,721.001,306.401,306.40958.40
Shareholders Funds1,935.101,793.401,374.901,374.901,035.60
      
Minority Interests / Other Equityn/an/an/an/an/a
Total Equity1,935.101,793.401,374.901,374.901,035.60
      
 31-10-202331-10-202231-10-202130-10-202131-10-2020
Operating Margin102.77%242.12%223.23%223.23%130.75%
Return on Capital Employed7.93%19.46%20.43%20.43%12.84%
Dividend Cover1.671.591.331.331.51
Dividend Yield4.403.302.10n/a2.30
PE Ratio13.6019.0036.103,576.0028.60
PEGn/an/an/an/an/a
Dividend per Share Growthn/a%-1.00%n/a%-99.15%7,241.33%
Net Asset Value per Share885.88p821.01p652.16p630.41p474.84p