7Baggers

British American Tobacco p.l.c
(NYSE:BTI) 

BTI stock logo

British American Tobacco p.l.c. provides tobacco and nicotine products to consumers worldwide. It offers vapour products, tobacco heating products, and modern oral products; combustible products; and traditional oral products, such as Swedish-style snus and American moist snuff. The company distribu...

Founded: 1902
Full Time Employees: 56,689
Sector: Consumer Defensive
Industry: Tobacco

Share this website to your friends
• Market Cap:
• Exchange:
• Shs Outstanding:
• Employees:
• Beta:
• Return on Equity (ROE) ttm:
• Return on Assets (ROA) ttm:
• EPS ttm:
• Book value per Share:
• Cash per Share:
• Current ast per Share:
• P/E ttm:
• P/E forward:
• P/E ttm high:
• P/E ttm low:
• P/S ttm:
• P/B ttm:
• P/FCF ttm:
• PEG ratio:
• Cash Ratio ttm:
• Quick Ratio ttm:
• Current Ratio ttm:
• Gross Mgn ttm:
• EBITDA Mgn ttm:
• Operating Mgn ttm:
• Net Income Mgn ttm:
• Trailing Div yield:
• Forward Div yield:
• Payout Ratio ttm:
• Ex-Dividend date:
• Target Price High:
• Target Price Low:
• Target Price Mean:
• Number of Analysts:
• Debt Ratio ttm:
• Debt to Equity ttm:
• Total Net Debt:
At a glance:
Bull Thesis:
Bear Thesis:
Main Competitors:
Moat:
Income Statements:
Quarterly
Annual
    Unit: USD 
    Balance Sheets:
    Quarterly
    Annual
      Unit: USD 
      Cashflow Statements:
      Quarterly
      Annual
        Unit: USD 
         
          cash flows from operating activities
         
          cash generated from operating activities
         
          dividends received from associates
         
          tax paid
         
          net cash generated from operating activities
         
          cash flows from investing activities
         
          interest received
         
          purchases of property, plant and equipment
         
          proceeds on disposal of property, plant and equipment
         
          purchases of intangibles
         
          proceeds on disposal of intangibles
         
          purchases of investments
         
          proceeds on disposals of investments
         
          investment in associates and acquisitions of other subsidiaries net of cash acquired
         
          net proceeds from disposal of shares in associate, net of tax
         
          net cash generated from investing activities
         
          cash flows from financing activities
         
          interest paid on borrowings and financing related activities
         
          interest element of lease liabilities
         
          capital element on lease liabilities
         
          proceeds from increases in and new borrowings
         
          reductions in and repayments of borrowings
         
          outflows relating to derivative financial instruments
         
          purchases of own shares - share buy-back programme
         
          purchases of own shares held in employee share ownership trusts
         
          dividends paid to owners of the parent
         
          dividends paid to non-controlling interests
         
          other
         
          net cash used in financing activities
         
          net cash flows (used in)/generated from operating, investing and financing activities
         
          differences on exchange
         
          increase in net cash and cash equivalents in the year
         
          net cash and cash equivalents at 1 january
         
          net cash and cash equivalents at period end
         
          cash and cash equivalents per balance sheet
         
          overdrafts and accrued interest
         
          net cash from financing activities
         
          net cash flows generated from operating, investing and financing activities
         
          transferred from held-for-sale
         
          increase in net cash in the year
         
          net cash at 1 january
         
          net cash at period end
         
          bat interim announcement 2024
         
          net cash generated from/(used in) investing activities
         
          (outflows)/inflows relating to derivative financial instruments
         
          coupon paid on perpetual hybrid bonds
         
          capital injection from and purchases of non-controlling interests
         
          transferred from/(to) held-for-sale
         
          disposal of subsidiary, net of cash disposed of
         
          net cash from investing activities
         
          proceeds from the issue of perpetual hybrid bonds, net of issuance costs
         
          net cash flows generated from/(used in) operating, investing and financing activities
         
          transferred to held-for-sale
         
          increase/(decrease) in net cash in the year
         
          net cash at 31 december
         
          cash generated from operations
         
          acquisition of rai
         
          acquisitions of subsidiaries
         
          proceeds from associate's share buy-back
         
          interest paid
         
          outflow relating to derivative financial instruments
         
          purchases of non-controlling interests
         
          net cash generated from/(used in) financing activities
         
          net cash
         
          the accompanying notes on pages 10 to 12 and 21 to 39 form an integral part of this condensed consolidated financial information.
         
          the net cash outflows relating to the quebec class action (see page 38) and other adjusting items on pages 24 and 25, included in the above, are £685 million (2016: £711 million).