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You are here: PLAYTECH ORD NPV PTEC Fundamentals

PLAYTECH ORD NPV (PTEC) Fundamentals

Code PTEC
Shares in Issue (M) 309.29
Address 2nd Floor,
St George's Court,
Upper Church Street,
Douglas,
IM1 1EE,
United Kingdom
ISIN IM00B7S9G985
Member of FTSE 250
Web Site http://www.playtech.com/
Telephone no +44 (0)20 3103 3903

FE fundinfo Risk Scores

Instrument 1y(%) Growth FE fundinfo Risk Score
Playtech PLC Ord NPV n/a
282
Cash n/a
0
Compare this fund to its peers using FE fundinfo Risk Scores>>
Learn more about using FE fundinfo Risk Scores>>
Financial Year
Currency
 
Annual Accounts
Avg Shares in Issue
Turnover
Operating Profit
Pretax Profit
Earnings after Tax
 
Preference Dividends
Ordinary Dividends
Retained Profit
 
Shareholders Funds
Net Current Assets
 
EPS Undiluted
EPS Diluted
Dividend per Share
 
Interim Accounts
Interim Period End
 
Interim Turnover
Interim Pretax Profit
Earnings after Tax
 
EPS Undiluted
EPS Diluted
 
Dividends
 
Interim 1
XD Date
Record Date
Pay Date
 
Special
XD Date
Record Date
Pay Date
 
Final
XD Date
Record Date
Pay Date
31/12/2023
EUR
 
 
303.28
 1706.70
406.50
235.80
105.10
 
0.00
611.80
0.00
 
1806.20
252.20
 
34.70
33.70
0.00
 
 
30/06/2023
 
859.60 
79.60
3.10
 
1.00
1.00
 
 
 
  
 
 
 
 
  
 
 
 
 
  
 
 
 
31/12/2022
EUR
 
 
300.06
 1601.80
372.50
95.60
87.60
 
0.00
606.00
0.00
 
1701.00
-33.30
 
29.20
28.10
0.00
 
 
30/06/2022
 
792.30 
103.70
110.30
 
36.80
35.40
 
 
 
  
 
 
 
 
  
 
 
 
 
  
 
 
 
31/12/2021
EUR
 
 
298.23
 1205.40
281.30
605.00
674.60
 
0.30
606.00
0.00
 
1580.90
863.00
 
226.30
216.20
0.00
 
 
30/06/2021
 
457.40 
278.10
415.10
 
139.30
132.20
 
 
 
  
 
 
 
 
  
 
 
 
 
  
 
 
 
31/12/2020
EUR
 
 
298.36
 1078.46
222.86
-52.66
-297.37
 
0.35
592.13
-87.00
 
899.59
890.57
 
-99.60
-99.60
0.00
 
 
30/06/2020
 
564.01 
10.49
5.33
 
1.80
1.80
 
 
 
  
 
 
 
 
  
 
 
 
 
  
 
 
 
31/12/2019
EUR
 
 
301.79
 1508.45
335.26
48.15
-18.97
 
-4.30
600.95
0.60
 
1226.51
268.72
 
-6.50
-6.40
18.10
 
 
30/06/2019
 
736.07 
28.00
18.01
 
5.50
5.50
 
 
 
6.10 EUX
19/09/2019
20/09/2019
22/10/2019
 
  
 
 
 
 
  
 
 
 
31/12/2018
EUR
 
 
315.07
 1240.44
287.84
183.42
129.78
 
7.80
627.76
0.00
 
1342.71
-25.05
 
39.30
38.40
24.10
 
 
30/06/2018
 
436.49 
124.22
117.96
 
35.70
35.70
 
 
 
12.10 EUX
20/09/2018
21/09/2018
23/10/2018
 
  
 
 
 
 
12.00 EUX
02/05/2019
03/05/2019
31/05/2019
31/12/2017
EUR
 
 
314.50
 807.12
293.17
266.62
249.11
 
14.18
627.76
0.00
 
1344.27
236.58
 
78.90
74.60
36.00
 
 
30/06/2017
 
421.58 
91.35
89.03
 
28.50
27.30
 
 
 
12.10 EUX
21/09/2017
22/09/2017
24/10/2017
 
  
 
 
 
 
23.90 EUX
03/05/2018
04/05/2018
01/06/2018
31/12/2016
EUR
 
 
314.13
 708.56
291.85
200.32
194.01
 
21.71
627.76
0.00
 
1078.01
432.33
 
61.40
58.80
32.70
 
 
30/06/2016
 
337.73 
51.35
48.98
 
15.30
15.30
 
 
 
11.00 EUX
22/09/2016
23/09/2016
25/10/2016
 
46.00 EUX
03/11/2016
04/11/2016
06/12/2016
 
21.70 EUX
04/05/2017
05/05/2017
02/06/2017

 

Data provided by FE fundinfo. Care has been taken to ensure that the information is correct, but FE fundinfo neither warrants, represents nor guarantees the contents of information, nor does it accept any responsibility for errors, inaccuracies, omissions or any inconsistencies herein. Past performance does not predict future performance, it should not be the main or sole reason for making an investment decision. The value of investments and any income from them can fall as well as rise.

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