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IG GROUP HLDGS SPON ADR EA REPR 1 ORD (IGGHY)

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  • 21.000
  • 0.0000.00%
15min DelayClose May 6 13:16 ET
6.95BMarket Cap14.78P/E (TTM)

IG GROUP HLDGS SPON ADR EA REPR 1 ORD (IGGHY) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(FY)May 31, 2024
(FY)May 31, 2023
(FY)May 31, 2022
(FY)May 31, 2021
(FY)May 31, 2020
(FY)May 31, 2019
(FY)May 31, 2018
(FY)May 31, 2017
(FY)May 31, 2016
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
-28.06%265.6M
-15.77%369.2M
-8.17%438.3M
5.02%477.3M
53.55%454.5M
53.45%296M
-31.38%192.9M
31.72%281.1M
2.79%213.4M
22.48%207.6M
Other non cash items
52.25%-68M
-76.24%-142.4M
-10,000.00%-80.8M
---800K
----
----
----
----
----
----
Change In working capital
-189.19%-36.3M
119.27%40.7M
-180.21%-211.2M
206.52%263.3M
352.11%85.9M
-51.78%19M
235.40%39.4M
-117.16%-29.1M
-318.75%-13.4M
-109.01%-3.2M
-Change in receivables
-355.02%-78.8M
130.00%30.9M
-291.09%-103M
133.29%53.9M
-354.78%-161.9M
-149.10%-35.6M
239.16%72.5M
33.72%-52.1M
-166.44%-78.6M
-189.94%-29.5M
Cash from discontinued investing activities
Operating cash flow
-47.30%209.2M
121.05%397M
-74.78%179.6M
45.20%712.2M
67.69%490.5M
33.93%292.5M
-4.08%218.4M
27.35%227.7M
-3.14%178.8M
7.33%184.6M
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
76.97%-3.5M
-31.03%-15.2M
-36.47%-11.6M
6.59%-8.5M
8.08%-9.1M
-76.79%-9.9M
-27.27%-5.6M
58.49%-4.4M
-107.84%-10.6M
15.00%-5.1M
Net intangibles purchase and sale
65.22%-800K
84.25%-2.3M
-62.22%-14.6M
-30.43%-9M
-7.81%-6.9M
26.44%-6.4M
9.38%-8.7M
73.55%-9.6M
-322.09%-36.3M
-34.38%-8.6M
Net business purchase and sale
--22.3M
--0
89.86%-2.8M
---27.6M
--0
--600K
--0
----
----
----
Net investment purchase and sale
-135.90%-57.9M
171.43%161.3M
-295.45%-225.8M
51.69%-57.1M
-3,681.82%-118.2M
106.59%3.3M
-73.36%-50.1M
-228.41%-28.9M
-519.05%-8.8M
950.00%2.1M
Net other investing changes
--13.3M
----
----
----
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-97.89%4.1M
184.82%194.4M
-131.52%-229.2M
25.40%-99M
-1,579.75%-132.7M
86.88%-7.9M
-49.38%-60.2M
24.95%-40.3M
-411.43%-53.7M
7.89%-10.5M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
--0
--0
----
--199.2M
--0
----
--99.5M
--0
----
----
Net common stock issuance
55.31%-115.7M
-36.41%-258.9M
-2,732.84%-189.8M
-3,250.00%-6.7M
86.67%-200K
25.00%-1.5M
53.49%-2M
-290.91%-4.3M
-10.00%-1.1M
---1M
Cash dividends paid
35.17%-115.6M
5.21%-178.3M
-1.02%-188.1M
-16.59%-186.2M
-0.31%-159.7M
6.95%-159.2M
-43.06%-171.1M
-0.76%-119.6M
-15.13%-118.7M
8.60%-103.1M
Cash from discontinued financing activities
Financing cash flow
46.71%-248.5M
-16.31%-466.3M
-2,102.75%-400.9M
89.42%-18.2M
0.75%-172M
-125.36%-173.3M
39.50%-76.9M
-4.87%-127.1M
-14.99%-121.2M
8.11%-105.4M
Net cash flow
Beginning cash position
37.39%1.09B
-36.20%795.2M
90.23%1.25B
34.76%655.2M
30.24%486.2M
28.86%373.3M
25.47%289.7M
5.53%230.9M
47.04%218.8M
46.60%148.8M
Current changes in cash
-128.14%-35.2M
127.77%125.1M
-175.71%-450.5M
220.24%595M
66.94%185.8M
36.90%111.3M
34.83%81.3M
1,446.15%60.3M
-94.32%3.9M
49.67%68.7M
Effect of exchange rate changes
185.00%6.8M
-1,042.86%-8M
81.58%-700K
77.38%-3.8M
-1,150.00%-16.8M
-30.43%1.6M
253.33%2.3M
-118.29%-1.5M
530.77%8.2M
-7.14%1.3M
End cash Position
16.64%1.06B
14.73%912.3M
-36.20%795.2M
90.23%1.25B
34.76%655.2M
30.24%486.2M
28.86%373.3M
25.47%289.7M
5.53%230.9M
47.04%218.8M
Free cash flow
-46.01%204.9M
147.39%379.5M
-77.92%153.4M
46.41%694.7M
71.80%474.5M
35.33%276.2M
-4.49%204.1M
62.02%213.7M
-22.82%131.9M
7.08%170.9M
Currency Unit
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)Dec 31, 2025(FY)May 31, 2024(FY)May 31, 2023(FY)May 31, 2022(FY)May 31, 2021(FY)May 31, 2020(FY)May 31, 2019(FY)May 31, 2018(FY)May 31, 2017(FY)May 31, 2016
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations -28.06%265.6M-15.77%369.2M-8.17%438.3M5.02%477.3M53.55%454.5M53.45%296M-31.38%192.9M31.72%281.1M2.79%213.4M22.48%207.6M
Other non cash items 52.25%-68M-76.24%-142.4M-10,000.00%-80.8M---800K------------------------
Change In working capital -189.19%-36.3M119.27%40.7M-180.21%-211.2M206.52%263.3M352.11%85.9M-51.78%19M235.40%39.4M-117.16%-29.1M-318.75%-13.4M-109.01%-3.2M
-Change in receivables -355.02%-78.8M130.00%30.9M-291.09%-103M133.29%53.9M-354.78%-161.9M-149.10%-35.6M239.16%72.5M33.72%-52.1M-166.44%-78.6M-189.94%-29.5M
Cash from discontinued investing activities
Operating cash flow -47.30%209.2M121.05%397M-74.78%179.6M45.20%712.2M67.69%490.5M33.93%292.5M-4.08%218.4M27.35%227.7M-3.14%178.8M7.33%184.6M
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale 76.97%-3.5M-31.03%-15.2M-36.47%-11.6M6.59%-8.5M8.08%-9.1M-76.79%-9.9M-27.27%-5.6M58.49%-4.4M-107.84%-10.6M15.00%-5.1M
Net intangibles purchase and sale 65.22%-800K84.25%-2.3M-62.22%-14.6M-30.43%-9M-7.81%-6.9M26.44%-6.4M9.38%-8.7M73.55%-9.6M-322.09%-36.3M-34.38%-8.6M
Net business purchase and sale --22.3M--089.86%-2.8M---27.6M--0--600K--0------------
Net investment purchase and sale -135.90%-57.9M171.43%161.3M-295.45%-225.8M51.69%-57.1M-3,681.82%-118.2M106.59%3.3M-73.36%-50.1M-228.41%-28.9M-519.05%-8.8M950.00%2.1M
Net other investing changes --13.3M------------------------------------
Cash from discontinued investing activities
Investing cash flow -97.89%4.1M184.82%194.4M-131.52%-229.2M25.40%-99M-1,579.75%-132.7M86.88%-7.9M-49.38%-60.2M24.95%-40.3M-411.43%-53.7M7.89%-10.5M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt --0--0------199.2M--0------99.5M--0--------
Net common stock issuance 55.31%-115.7M-36.41%-258.9M-2,732.84%-189.8M-3,250.00%-6.7M86.67%-200K25.00%-1.5M53.49%-2M-290.91%-4.3M-10.00%-1.1M---1M
Cash dividends paid 35.17%-115.6M5.21%-178.3M-1.02%-188.1M-16.59%-186.2M-0.31%-159.7M6.95%-159.2M-43.06%-171.1M-0.76%-119.6M-15.13%-118.7M8.60%-103.1M
Cash from discontinued financing activities
Financing cash flow 46.71%-248.5M-16.31%-466.3M-2,102.75%-400.9M89.42%-18.2M0.75%-172M-125.36%-173.3M39.50%-76.9M-4.87%-127.1M-14.99%-121.2M8.11%-105.4M
Net cash flow
Beginning cash position 37.39%1.09B-36.20%795.2M90.23%1.25B34.76%655.2M30.24%486.2M28.86%373.3M25.47%289.7M5.53%230.9M47.04%218.8M46.60%148.8M
Current changes in cash -128.14%-35.2M127.77%125.1M-175.71%-450.5M220.24%595M66.94%185.8M36.90%111.3M34.83%81.3M1,446.15%60.3M-94.32%3.9M49.67%68.7M
Effect of exchange rate changes 185.00%6.8M-1,042.86%-8M81.58%-700K77.38%-3.8M-1,150.00%-16.8M-30.43%1.6M253.33%2.3M-118.29%-1.5M530.77%8.2M-7.14%1.3M
End cash Position 16.64%1.06B14.73%912.3M-36.20%795.2M90.23%1.25B34.76%655.2M30.24%486.2M28.86%373.3M25.47%289.7M5.53%230.9M47.04%218.8M
Free cash flow -46.01%204.9M147.39%379.5M-77.92%153.4M46.41%694.7M71.80%474.5M35.33%276.2M-4.49%204.1M62.02%213.7M-22.82%131.9M7.08%170.9M
Currency Unit GBPGBPGBPGBPGBPGBPGBPGBPGBPGBP
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
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