- Previous Close
124.40 - Open
126.80 - Bid 126.80 x --
- Ask 126.80 x --
- Day's Range
126.20 - 128.20 - 52 Week Range
1.30 - 163.30 - Volume
102,048 - Avg. Volume
190,006 - Market Cap (intraday)
557.42M - Beta (5Y Monthly) 1.15
- PE Ratio (TTM)
1,156.36 - EPS (TTM)
0.11 - Earnings Date Mar 11, 2025
- Forward Dividend & Yield 0.05 (4.41%)
- Ex-Dividend Date Apr 24, 2025
- 1y Target Est
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Kier Group plc primarily engages in the construction business in the United Kingdom and internationally. The company operates through three segments: Construction, Infrastructure Services, and Property. It constructs power stations, roads, bridges, railways, and tunnels; and buildings for public and private sectors, including schools, hospitals, leisure centres, and prisons. It also provides maintenance services for the UK road, rail, and utilities infrastructure, as well as reactive repairs; water and network services; mechanical and electrical engineering and fabric maintenance services; and cleaning, grounds' maintenance, security, and pest control services. In addition, the company invests in and develops property schemes and sites. Kier Group plc was incorporated in 1992 and is based in Salford, the United Kingdom.
www.kier.co.uk11,083
Full Time Employees
June 30
Fiscal Year Ends
Sector
Industry
Recent News: KIEL.XC
View MorePerformance Overview: KIEL.XC
Trailing total returns as of 4/14/2025, which may include dividends or other distributions. Benchmark is FTSE 100 (^FTSE) .
YTD Return
1-Year Return
3-Year Return
5-Year Return
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Statistics: KIEL.XC
View MoreValuation Measures
Market Cap
544.27M
Enterprise Value
641.37M
Trailing P/E
11.01
Forward P/E
5.52
PEG Ratio (5yr expected)
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Price/Sales (ttm)
0.14
Price/Book (mrq)
1.09
Enterprise Value/Revenue
0.16
Enterprise Value/EBITDA
3.23
Financial Highlights
Profitability and Income Statement
Profit Margin
1.08%
Return on Assets (ttm)
2.47%
Return on Equity (ttm)
10.27%
Revenue (ttm)
4.02B
Net Income Avi to Common (ttm)
51.8M
Diluted EPS (ttm)
0.11
Balance Sheet and Cash Flow
Total Cash (mrq)
1.14B
Total Debt/Equity (mrq)
249.23%
Levered Free Cash Flow (ttm)
157.69M