- Berkeley’s fiscal year revenue reached GBP 2.49 billion, matching the estimates.
- Pretax profit recorded at GBP 528.9 million, slightly above the estimate of GBP 526.3 million.
- Operating profit was GBP 500.0 million, surpassing the estimate of GBP 495.1 million.
- Gross profit came in at GBP 660.3 million, just above the projected GBP 659.9 million.
- Basic earnings per share (EPS) amounted to 371.8p.
- Net asset value per share stood at GBP 35.95.
- The average selling price for homes was GBP 0.59 million, below the estimate of GBP 0.61 million.
- Land holdings totaled 52,714 plots, more than the estimated 52,074 plots.
- Berkeley delivered 4,047 homes, exceeding the estimate of 3,949 units.
- Net cash was at GBP 337.3 million, under the forecasted GBP 373.8 million.
- Despite a challenging market environment, Berkeley recorded pre-tax profits of GBP 528.9 million.
- The company is focused on adapting to market conditions, forecasting a pre-tax profit of GBP 450 million for FY26, with similar expectations for FY27.
- Investment recommendations included 7 buys, 7 holds, and 3 sells.
“`
A look at Berkeley Group Holdings Smart Scores
| Factor | Score | Magnitude |
|---|---|---|
| Value | 3 | |
| Dividend | 2 | |
| Growth | 3 | |
| Resilience | 4 | |
| Momentum | 4 | |
| OVERALL SMART SCORE | 3.2 |
Smart Score is a compound score for the Company indicating its overall outlook. It is derived by taking an equally weighted average of underlying Factor scores computed by Smartkarma
The long-term outlook for Berkeley Group Holdings looks promising based on the Smartkarma Smart Scores. With a high Resilience score of 4, the company demonstrates a strong ability to withstand economic uncertainties and market volatilities. This factor suggests a stable foundation for continued growth and success in the future. Additionally, the Momentum score of 4 indicates that Berkeley Group Holdings is experiencing positive market momentum, which could translate into sustained performance over the long term.
While the Value and Growth scores both sit at 3, signifying moderate performance in these areas, the overall outlook for Berkeley Group Holdings appears positive. Although the Dividend score is at 2, the company’s focus on urban regeneration and mixed-use developments positions it well for long-term growth potential. Investors may find Berkeley Group Holdings an attractive prospect for steady returns in the property development sector.
Disclaimer: This article by Smartkarma is general in nature and based on historical data and analyst forecasts only using an unbiased methodology and our articles are not intended to be financial advice. It does not constitute a recommendation to buy or sell any stock, and does not take account of your objectives, or your financial situation. Note that our articles may not factor in the latest price-sensitive company announcements or qualitative material.
While all reasonable care has been taken in the preparation, Smartkarma makes no assurance about the accuracy of any generated data or content. All content is indicative only and should be independently checked for accuracy and confirmed before use. Smartkarma accepts no responsibility for any loss or damage caused as a result of any inaccuracy or error within the Lab online tools or generated data.
Have feedback on this article? Concerned about the content? Get in touch with us directly.
π‘ Before itβs here, it’s on Smartkarma
Sign Up for Free
The Smartkarma Preview Pass is your entry to the Independent Investment Research Network
- β Unlimited Research Summaries
- β Personalised Alerts
- β Custom Watchlists
- β Company Analytics and News
- β Events & Webinars
