Trade

with

British American Tobacco PLC
(Amex: BTI)
AdChoices
109.18
+0.96
+0.89%
After Hours :
108.57
-0.61
-0.56%

Open

108.38

Previous Close

108.22

Volume (Avg)

186.07k (196.81k)

Day's Range

108.32-109.18

52Wk Range

94.19-123.36

Market Cap.

100.85B

Dividend Rate (Yield )

4.82 (4.45%)

Beta

0.75

Shares Outstanding

932.01M

P/E Ratio (EPS)

17.61 (6.14)

AdChoices
Fundamentals
  • Key statistics
  • Growth
  • Profitability
  • Financial health
  • Price ratios
  • Trading statistics
Industry Tobacco
Highlights
Analyst Recommendation: Hold
    • Revenue

    • 24.55B

    • Net Income

    • 6.28B

    • Market Cap.

    • 100.85B

    • Enterprise Value

    • -

    • Net Profit Margin %

    • 24.93

    • PEG (Price/Earnings Growth) Ratio

    • 9.95

    • Beta

    • 0.75

    • Forward P/E

    • 30.12

    • Price/Sales

    • 4.43

    • Price/Book Value

    • 11.04

    • Price/Cash flow

    • 14.97

      • EBITDA

      • 11.09B

      • Return on Capital %

      • 13.49

      • Return on Equity %

      • 55.48

      • Return on Assets %

      • 13.49

      • Book Value/Share

      • 15.85

      • Shares Outstanding

      • 932.01M

      • Last Split Factor (Date)

      • -

      • Last Dividend (Ex-Date)

      • 1.53 (8/20/2014)

      • Dividend Declaration Date

      • 8/5/2014

      Analyst Recommendation
      10/21/2014
      Hold
        • 1 Year Price Target

        • 54.41

        • Credit Rating

        • BBB+

        • Analysts

        • 5

        • EPS Estimate

        • 3.23

        • Cashflow Estimate

        • 3.65

        Morningstar Consensus estimate data
        • Growth Rate (%)

        • Company

        • Industry

          • Sales (Revenue)

            Q/Q (last year)

          • 26.30

          • 2.11

          • Net Income

            YTD/YTD (last year)

          • 1.60

          • 0.94

          • Net Income

            Q/Q (last year)

          • 22.20

          • -9.40

          • Sales (Revenue)

            5-Year Annual Average

          • 4.71

          • 11.25

          • Net Income

            5-Year Annual Average

          • 9.70

          • 0.75

          • Dividends

            5-Year Annual Average

          • 16.31

          • -1.48

          • Profit Margins (%)

          • Company

          • Industry

            • Gross Margin

            • 78.13

            • 62.35

            • Pre-Tax Margin

            • 37.43

            • 37.17

            • Net Profit Margin

            • 24.93

            • 25.30

            • Average Gross Margin

              5-Year Annual Average

            • 91.10

            • 61.51

            • Average Pre-Tax Margin

              5-Year Annual Average

            • 33.10

            • 37.16

            • Average Net Profit Margin

              5-Year Annual Average

            • 21.90

            • 561.42B

            • Financial Ratios

            • Company

            • Industry

              • Debt/Equity Ratio

              • 1.57

              • 20.31

              • Current Ratio

              • 0.94

              • 1.01

              • Quick Ratio

              • 0.49

              • 0.31

              • Interest Coverage

              • 9.89

              • 10.55

              • Leverage Ratio

              • 4.46

              • 39.33

              • Book Value/Share

              • 9.89

              • 1.61

              • Price Ratios

              • Company

              • Industry

                • Current P/E Ratio

                • 17.79

                • 18.94

                • P/E Ratio 5-Year High

                • 20.09

                • 99.77

                • P/E Ratio 5-Year Low

                • 9.12

                • 61.83

                • Price/Sales Ratio

                • 4.43

                • 4.27

                • Price/Book Value

                • 11.04

                • 46.30

                • Price/Cash Flow Ratio

                • 14.97

                • 16.56

                • Key Metrics

                • Company

                • Industry

                  • Return on Equity %

                    (5-Year Average)

                  • 55.48

                    (40.70)

                  • -254.38

                    (303.86)

                  • Return on Assets %

                    (5-Year Average)

                  • 13.49

                    (12.10)

                  • 17.87

                    (17.99)

                  • Return on Capital %

                    (5-Year Average)

                  • 21.21

                    (21.10)

                  • 32.58

                    (33.97)

                  • Income/Employee

                  • 40.21k

                  • 111.37k

                  • Inventory Turnover

                  • 0.78

                  • 1.78

                  • Asset Turnover

                  • 0.54

                  • 0.71

                  Current Historical
                  Financials
                  • Income Statement
                  • Balance Sheet
                  • Cash Flow
                  Operating Income
                  8.89B
                  Operating Margin
                  36.21
                  Total Equity
                  -
                  Retained Earnings
                  -
                  Free Cashflow
                  -
                  Price/Cashflow
                  14.97
                  Ownership

                  Institutional Ownership

                  1.77%

                  Top 10 Institutions

                  1.38%

                  Mutual Fund Ownership

                  0.90%

                  Float

                  -

                  5% / Insider Ownership

                  -

                  Corporate insiders or major stockholders reporting trading activity in the stock.

                  Top Mutual Fund Owners

                  Top Institutional Owners

                  Mutual Fund Name

                  Institution Name

                  • Mutual Fund Name

                  • Shares Held

                  • % Change

                  • % Outstanding

                  • Fidelity® Select Consumer Staples Port

                  •  

                    2,432,645

                  • 3.29

                  • 0.26

                  • Fidelity® Diversified International Fund

                  •  

                    2,210,800

                  • 0.00

                  • 0.24

                  • Fidelity VIP Contrafund Portfolio

                  •  

                    1,838,579

                  • 2.33

                  • 0.20

                  • Fidelity® Balanced Fund

                  •  

                    1,817,610

                  • 2.33

                  • 0.20

                  • Fidelity® Series Growth & Income Fund

                  •  

                    1,221,159

                  • -7.08

                  • 0.13

                  • Fidelity® Growth & Income Portfolio

                  •  

                    996,723

                  • -7.52

                  • 0.11

                  • Fidelity Advisor® Mega Cap Stock Fd

                  •  

                    537,600

                  • 4.11

                  • 0.06

                  • Fidelity® Stock Selector All Cap Fund

                  •  

                    497,466

                  • 14.73

                  • 0.05

                  • Fidelity Advisor® Capital Development

                  •  

                    345,264

                  • -7.65

                  • 0.04

                  • Fidelity® Equity Income Fund

                  •  

                    343,572

                  • 0.00

                  • 0.04

                  • Institution Name

                  • Shares Held

                  • % Change

                  • % Outstanding

                  • Fidelity Management and Research Company

                  •  

                    15,769,891

                  • -8.96%

                  • 0.84

                  • UBS Financial Services Inc.

                  •  

                    1,991,258

                  • +2.71%

                  • 0.11

                  • WHV Investment Management

                  •  

                    1,843,511

                  • -4.16%

                  • 0.10

                  • Schafer Cullen Capital Management Inc

                  •  

                    1,087,588

                  • +4.42%

                  • 0.06

                  • Northern Trust Investments, N.A.

                  •  

                    927,059

                  • +43.94%

                  • 0.05

                  • Lazard Asset Management LLC

                  •  

                    907,678

                  • +0.10%

                  • 0.05

                  • Invesco Advisers, Inc

                  •  

                    855,581

                  • +57.43%

                  • 0.05

                  • Wells Fargo Advisors, LLC

                  •  

                    723,238

                  • +5.17%

                  • 0.04

                  • Managed Account Advisors LLC

                  •  

                    687,810

                  • +9.73%

                  • 0.04

                  • J. P. Morgan Chase Bank, N.A.

                  •  

                    671,657

                  • +6.39%

                  • 0.04

                  Company Profile

                  Sector

                  Consumer Defensive

                  Industry

                  Tobacco

                  Type

                  Classic Growth

                  Style

                  Large Growth

                  British American Tobacco PLC was incorporated in the United Kingdom on 23rd July, 1997. The Company is a holding company which owns, directly or indirectly, investments in the numerous companies constituting the British American Tobacco Group of companies. All subsidiary undertakings are involved in activities directly or indirectly related to the manufacture, distribution or sale of tobacco products. The company has operations in the Asia-Pacific, Americas and Western Europe. Its brand portfolio includes Dunhill, Kent, Lucky Strike and Pall Mall.

                  Key People

                  Nicandro Durante

                  CEO/Director

                  Mr. Richard Burrows

                  Chairman of the Board/Director

                  Des Naughton

                  Managing Director, Divisional

                  Ben Stevens

                  Chief Information Officer/Director/Other Corporate Officer

                  Mr. Savio Kwan

                  Director

                  • British American Tobacco PLC

                  • Globe House

                  • London, WC2R 2PG

                  • GBR.Map

                  • Phone: +44 2078451000

                  • Fax: +44 2072400555

                  • bat.com

                  Incorporated

                  1997

                  Employees

                  89,809

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