B&M EUROPEAN VALUE RETAIL PLC O (BME.L) generated 736 M GBP of operating cash flow and 594 M GBP of free cash flow in fiscal year 2026, up 9.6 % year on year.
B&M EUROPEAN VALUE RETAIL PLC O (BME.L) generated 736 M GBP of operating cash flow in fiscal year 2026. After capital expenditure of 142 M GBP, free cash flow was 594 M GBP, up 9.6 % year on year. That is 362 % of the year's net income converted into free cash flow. The company paid 133 M GBP in dividends. The net change in cash over the year was 125 M GBP. Over the whole period free cash flow compounds at -4.6 % a year. The series covers 4 fiscal years, from 2023 to 2026. All figures are stated in GBP and are taken from the company's own published annual accounts, with no restatements or adjustments of our own. The statement keeps the natural cash-flow sign convention: cash outflows are negative.
Fiscal year end: March
| 2023 | 2024 | 2025 | 2026 | |
|---|---|---|---|---|
| Net income | 348M | 367M | 319M | 164M |
| Depreciation & amortization | 242M | 258M | 273M | 297M |
| Asset impairment | — | — | — | — |
| Stock-based compensation | 3.00M | 3.00M | 3.00M | 3.00M |
| Deferred taxes | — | — | — | — |
| (Gain)/loss on sale of assets | -2.00M | 1.00M | 0.00M | 1.00M |
| (Gain)/loss on sale of businesses and investments | 17.0M | -6.00M | 3.00M | -6.00M |
| Income from equity method investments | — | — | — | — |
| Provisions and restructuring | — | — | — | — |
| Change in working capital | 68.0M | -7.00M | -64.0M | 90.0M |
| Other operating activities (as reported) | 99.0M | 109M | 136M | 148M |
| Unallocated operating remainder | 7.00M | 21.0M | 5.00M | 39.0M |
| Operating cash flow | 782M | 746M | 675M | 736M |
| Operating cash flow — YoY growth | — | -4.60 % | -9.52 % | 9.04 % |
| Capex | -98.0M | -126M | -133M | -142M |
| Free Cash Flow | 684M | 620M | 542M | 594M |
| Free Cash Flow — YoY growth | — | -9.36 % | -12.58 % | 9.59 % |
Figures in GBP
Fiscal year end: March
| 2023 | 2024 | 2025 | 2026 | |
|---|---|---|---|---|
| Capex | -98.0M | -126M | -133M | -142M |
| Proceeds from sale of PP&E | 9.00M | 2.00M | 22.0M | 3.00M |
| Business acquisitions | — | — | — | — |
| Business divestitures | — | — | — | — |
| Purchases/sales of investments | — | 0.00M | -150M | 150M |
| Long-term investments | -5.00M | -3.00M | -2.00M | -3.00M |
| Unallocated investing remainder | 7.00M | 9.00M | 9.00M | 9.00M |
| Investing cash flow | -87.0M | -118M | -254M | 17.0M |
Figures in GBP
Fiscal year end: March
| 2023 | 2024 | 2025 | 2026 | |
|---|---|---|---|---|
| Debt issuance | 0.00M | 503M | 259M | 12.0M |
| Debt repayment | -3.00M | -539M | -30.0M | -163M |
| Share issuance | — | — | — | — |
| Share buybacks | — | — | — | — |
| Tax withholding on RSU/option vesting | — | — | — | — |
| Dividends paid | -366M | -348M | -300M | -133M |
| Other financing activities | -265M | -296M | -313M | -345M |
| Financing cash flow | -634M | -680M | -384M | -629M |
Figures in GBP
Fiscal year end: March
| 2023 | 2024 | 2025 | 2026 | |
|---|---|---|---|---|
| Operating cash flow | 782M | 746M | 675M | 736M |
| Investing cash flow | -87.0M | -118M | -254M | 17.0M |
| Financing cash flow | -634M | -680M | -384M | -629M |
| Foreign exchange effect | 3.00M | -3.00M | -2.00M | 1.00M |
| Net change in cash | 64.0M | -55.0M | 35.0M | 125M |
| Income taxes paid (cash) | -84.0M | -116M | -109M | -65.0M |
| Interest paid (cash) | -97.0M | -110M | -133M | -153M |
Figures in GBP