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Mitie Group PLC
GBX २१०.००
+०.१०%
(+०.२०) 1D
सेप्टेम्बर ७, १७:१५:०० GMT+१  ·   GBX
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Generating top insights for MTO...
Open
GBX २१०.००
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GBX २०९.४०
Mkt. cap
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१.१७ करोड
Volume
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Quarterly dividend
GBX १.१३
Ex-dividend date
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P/E ratio
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52-wk high
GBX २१४.००
52-wk low
GBX १३४.८०
EPS
GBX ०.०६
Shares outstanding
१.३० अरब
No. of employees
६८ हजार
Open
GBX २१०.००
High
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Low
GBX २०९.४०
Mkt. cap
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Avg. vol.
१.१७ करोड
Volume
७४.२० लाख
Dividend
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Quarterly dividend
GBX १.१३
Ex-dividend date
२०२६ जुलाई १६
P/E ratio
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52-wk high
GBX २१४.००
52-wk low
GBX १३४.८०
EPS
GBX ०.०६
Shares outstanding
१.३० अरब
No. of employees
६८ हजार
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१४ घण्टा पहिले
Mitie Discloses Routine Director Share Purchase Under Incentive Plan
Profile
Mitie Group PLC is a British strategic outsourcing and energy services company. It provides infrastructure consultancy, facilities management, property management, energy and healthcare services. It has a head office at The Shard in London, more than 200 smaller offices throughout the United Kingdom and Ireland and, as of June 2026, employs 84,000 people. It is listed on the London Stock Exchange and is a constituent of the FTSE 250 Index. Wikipedia
About Mitie Group PLC
CEOPhil Bentley
Employees६८.४ हजार
Founded१९८७
HeadquartersSouthwark, लण्डन, संयुक्त अधिराज्य
SectorService
Websitemitie.com
Previous reportsAll values in GBP
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Income statement
Revenue
Net income
All values in GBP
२०२५ जुन
२०२५ सेप्टेम्बर
२०२५ डिसेम्बर
२०२६ मार्च
Revenue
१.३४ अरब
१.३४ अरब
१.४७ अरब
१.४७ अरब
Cost of goods sold
१.१९ अरब
१.१९ अरब
१.२९ अरब
१.२९ अरब
Cost of revenue
१.१९ अरब
१.१९ अरब
१.२९ अरब
१.२९ अरब
Research and development expenses
-
-
-
-
Total research and development expenses
-
-
-
-
Selling, general, and admin expenses
९.९६ करोड
९.९६ करोड
११.७४ करोड
११.७४ करोड
Operating expense
९.९२ करोड
९.९२ करोड
११.७० करोड
११.७० करोड
Total operating expenses
१.२९ अरब
१.२९ अरब
१.४१ अरब
१.४१ अरब
Operating income
४.६४ करोड
४.६४ करोड
६.५६ करोड
६.५६ करोड
Other non operating income
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-
-१०.०० लाख
-१०.०० लाख
EBT including unusual items
२.४९ करोड
२.४९ करोड
३.७० करोड
३.७० करोड
EBT excluding unusual items
४.०८ करोड
४.०८ करोड
५.६६ करोड
५.६६ करोड
Income tax expense
७५.५० लाख
७५.५० लाख
९१.५० लाख
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Effective tax rate
३०.३२%
३०.३२%
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Other operating expenses
-४.०० लाख
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-४.५० लाख
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Net income
१.५८ करोड
१.५८ करोड
२.५६ करोड
२.५६ करोड
Net profit margin
१.१८%
१.१८%
१.७४%
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Earnings per share
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Interest and investment income
११.०० लाख
११.०० लाख
५०.०० हजार
५०.०० हजार
Interest expense
-६५.०० लाख
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Net interest expenses
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Depreciation and amortization charges
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EBITDA
७.६६ करोड
७.६६ करोड
६.९९ करोड
६.९९ करोड
Gain or loss from assets sale
५०.०० हजार
५०.०० हजार
५.०० लाख
५.०० लाख
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