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BTI British American Tobacco

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  • 38.820
  • -0.790-1.99%
Close Feb 14 16:00 ET
  • 38.950
  • +0.130+0.33%
Post 19:58 ET
85.77BMarket Cap-4.96P/E (TTM)

British American Tobacco Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2015
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
122.42%3.18B
-307.26%-14.19B
-1.84%6.85B
6.25%6.97B
12.22%6.56B
-37.20%5.85B
45.24%9.31B
37.74%6.41B
2.15%4.66B
0.24%4.56B
Deferred tax
112.43%357M
-215.90%-2.87B
13.20%2.48B
3.84%2.19B
2.18%2.11B
--2.06B
----
----
----
----
Other non cash items
-54.61%1.06B
6.05%2.33B
14.54%2.2B
6.43%1.92B
5.56%1.8B
5,409.68%1.71B
-63.95%31M
--86M
----
-210.20%-54M
Change In working capital
1,331.56%5.78B
-555.34%-469M
266.13%103M
-156.88%-62M
-65.29%109M
-80.25%314M
224.12%1.59B
-247.15%-1.28B
25.30%-369M
-2.07%-494M
-Change in receivables
44.76%-269M
-1,059.52%-487M
89.31%-42M
-231.00%-393M
214.07%300M
-152.39%-263M
158.24%502M
-456.13%-862M
72.47%-155M
-1,463.89%-563M
-Change in inventory
-86.79%35M
207.72%265M
-156.81%-246M
400.69%433M
61.19%-144M
-93.23%-371M
-113.63%-192M
320.85%1.41B
-22.69%-638M
-28.40%-520M
-Change in other current assets
----
----
----
----
----
----
----
-634.48%-1.07B
24.08%-145M
---191M
Cash from discontinued investing activities
Operating cash flow
-5.50%10.13B
3.08%10.71B
6.97%10.39B
-0.71%9.72B
8.78%9.79B
-12.62%9B
92.54%10.3B
15.99%5.35B
-2.33%4.61B
27.02%4.72B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
16.01%-341M
17.48%-406M
0.81%-492M
-6.21%-496M
25.87%-467M
12.50%-630M
-3.45%-720M
-41.18%-696M
-31.47%-493M
19.70%-375M
Net intangibles purchase and sale
27.19%-83M
12.31%-114M
40.37%-130M
10.66%-218M
-61.59%-244M
18.38%-151M
1.07%-185M
-112.50%-187M
25.42%-88M
27.61%-118M
Net business purchase and sale
1,153.28%1.53B
412.82%122M
83.12%-39M
-692.31%-231M
145.35%39M
-473.33%-86M
99.92%-15M
-52,058.82%-17.73B
99.03%-34M
-3,831.91%-3.51B
Net investment purchase and sale
293.02%83M
66.67%-43M
43.42%-129M
-43.40%-228M
-207.43%-159M
196.73%148M
-1,430.00%-153M
88.51%-10M
-61.11%-87M
-1,900.00%-54M
Cash from discontinued investing activities
Investing cash flow
564.53%1.38B
58.01%-296M
38.16%-705M
-45.59%-1.14B
-22.54%-783M
37.41%-639M
94.49%-1.02B
-2,797.50%-18.54B
83.96%-640M
-749.15%-3.99B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-48.13%-2.42B
-833.18%-1.64B
110.21%223M
-170.63%-2.18B
42.07%-807M
59.91%-1.39B
-117.28%-3.48B
5,624.73%20.11B
-107.42%-364M
635.08%4.9B
Net common stock issuance
-620.00%-792M
94.74%-110M
-2,451.22%-2.09B
-355.56%-82M
84.62%-18M
15.83%-117M
32.20%-139M
-220.31%-205M
-39.13%-64M
94.55%-46M
Cash dividends paid
-3.13%-5.21B
-2.85%-5.06B
-0.22%-4.92B
-3.35%-4.9B
-3.20%-4.75B
-5.77%-4.6B
-25.45%-4.35B
-19.07%-3.47B
-5.05%-2.91B
-2.14%-2.77B
Net other financing activities
74.16%-123M
-325.00%-476M
-148.07%-112M
188.26%233M
51.20%-264M
-1,388.10%-541M
110.50%42M
-288.35%-400M
93.02%-103M
-704.51%-1.48B
Cash from discontinued financing activities
Financing cash flow
-14.15%-10.63B
-4.91%-9.31B
-1.47%-8.88B
-10.79%-8.75B
8.10%-7.9B
10.77%-8.59B
-165.25%-9.63B
449.00%14.76B
-1,831.05%-4.23B
93.68%-219M
Net cash flow
Beginning cash position
35.36%4.52B
35.49%3.34B
-14.72%2.46B
41.92%2.89B
-12.59%2.04B
-17.51%2.33B
70.93%2.82B
-4.57%1.65B
15.95%1.73B
-15.99%1.49B
Current changes in cash
-21.38%868M
36.13%1.1B
571.51%811M
-115.55%-172M
568.64%1.11B
33.71%-236M
-122.79%-356M
703.09%1.56B
-150.78%-259M
330.77%510M
Effect of exchange rate changes
3.77%-281M
-167.75%-292M
270.36%431M
0.00%-253M
-343.86%-253M
58.70%-57M
64.71%-138M
-317.22%-391M
166.18%180M
-331.75%-272M
End cash Position
13.00%5.1B
35.36%4.52B
35.49%3.34B
-14.72%2.46B
41.92%2.89B
-12.59%2.04B
-17.51%2.33B
70.93%2.82B
-4.57%1.65B
15.95%1.73B
Free cash flow
-5.89%9.52B
3.85%10.11B
8.54%9.74B
-0.65%8.97B
10.39%9.03B
-12.52%8.18B
114.05%9.35B
11.00%4.37B
-4.44%3.94B
36.21%4.12B
Currency Unit
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
(FY)Dec 31, 2024(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2015
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 122.42%3.18B-307.26%-14.19B-1.84%6.85B6.25%6.97B12.22%6.56B-37.20%5.85B45.24%9.31B37.74%6.41B2.15%4.66B0.24%4.56B
Deferred tax 112.43%357M-215.90%-2.87B13.20%2.48B3.84%2.19B2.18%2.11B--2.06B----------------
Other non cash items -54.61%1.06B6.05%2.33B14.54%2.2B6.43%1.92B5.56%1.8B5,409.68%1.71B-63.95%31M--86M-----210.20%-54M
Change In working capital 1,331.56%5.78B-555.34%-469M266.13%103M-156.88%-62M-65.29%109M-80.25%314M224.12%1.59B-247.15%-1.28B25.30%-369M-2.07%-494M
-Change in receivables 44.76%-269M-1,059.52%-487M89.31%-42M-231.00%-393M214.07%300M-152.39%-263M158.24%502M-456.13%-862M72.47%-155M-1,463.89%-563M
-Change in inventory -86.79%35M207.72%265M-156.81%-246M400.69%433M61.19%-144M-93.23%-371M-113.63%-192M320.85%1.41B-22.69%-638M-28.40%-520M
-Change in other current assets -----------------------------634.48%-1.07B24.08%-145M---191M
Cash from discontinued investing activities
Operating cash flow -5.50%10.13B3.08%10.71B6.97%10.39B-0.71%9.72B8.78%9.79B-12.62%9B92.54%10.3B15.99%5.35B-2.33%4.61B27.02%4.72B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale 16.01%-341M17.48%-406M0.81%-492M-6.21%-496M25.87%-467M12.50%-630M-3.45%-720M-41.18%-696M-31.47%-493M19.70%-375M
Net intangibles purchase and sale 27.19%-83M12.31%-114M40.37%-130M10.66%-218M-61.59%-244M18.38%-151M1.07%-185M-112.50%-187M25.42%-88M27.61%-118M
Net business purchase and sale 1,153.28%1.53B412.82%122M83.12%-39M-692.31%-231M145.35%39M-473.33%-86M99.92%-15M-52,058.82%-17.73B99.03%-34M-3,831.91%-3.51B
Net investment purchase and sale 293.02%83M66.67%-43M43.42%-129M-43.40%-228M-207.43%-159M196.73%148M-1,430.00%-153M88.51%-10M-61.11%-87M-1,900.00%-54M
Cash from discontinued investing activities
Investing cash flow 564.53%1.38B58.01%-296M38.16%-705M-45.59%-1.14B-22.54%-783M37.41%-639M94.49%-1.02B-2,797.50%-18.54B83.96%-640M-749.15%-3.99B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -48.13%-2.42B-833.18%-1.64B110.21%223M-170.63%-2.18B42.07%-807M59.91%-1.39B-117.28%-3.48B5,624.73%20.11B-107.42%-364M635.08%4.9B
Net common stock issuance -620.00%-792M94.74%-110M-2,451.22%-2.09B-355.56%-82M84.62%-18M15.83%-117M32.20%-139M-220.31%-205M-39.13%-64M94.55%-46M
Cash dividends paid -3.13%-5.21B-2.85%-5.06B-0.22%-4.92B-3.35%-4.9B-3.20%-4.75B-5.77%-4.6B-25.45%-4.35B-19.07%-3.47B-5.05%-2.91B-2.14%-2.77B
Net other financing activities 74.16%-123M-325.00%-476M-148.07%-112M188.26%233M51.20%-264M-1,388.10%-541M110.50%42M-288.35%-400M93.02%-103M-704.51%-1.48B
Cash from discontinued financing activities
Financing cash flow -14.15%-10.63B-4.91%-9.31B-1.47%-8.88B-10.79%-8.75B8.10%-7.9B10.77%-8.59B-165.25%-9.63B449.00%14.76B-1,831.05%-4.23B93.68%-219M
Net cash flow
Beginning cash position 35.36%4.52B35.49%3.34B-14.72%2.46B41.92%2.89B-12.59%2.04B-17.51%2.33B70.93%2.82B-4.57%1.65B15.95%1.73B-15.99%1.49B
Current changes in cash -21.38%868M36.13%1.1B571.51%811M-115.55%-172M568.64%1.11B33.71%-236M-122.79%-356M703.09%1.56B-150.78%-259M330.77%510M
Effect of exchange rate changes 3.77%-281M-167.75%-292M270.36%431M0.00%-253M-343.86%-253M58.70%-57M64.71%-138M-317.22%-391M166.18%180M-331.75%-272M
End cash Position 13.00%5.1B35.36%4.52B35.49%3.34B-14.72%2.46B41.92%2.89B-12.59%2.04B-17.51%2.33B70.93%2.82B-4.57%1.65B15.95%1.73B
Free cash flow -5.89%9.52B3.85%10.11B8.54%9.74B-0.65%8.97B10.39%9.03B-12.52%8.18B114.05%9.35B11.00%4.37B-4.44%3.94B36.21%4.12B
Currency Unit GBPGBPGBPGBPGBPGBPGBPGBPGBPGBP

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