Bloomsbury Publishing Plc

BMY.L · LSE
Analyze with AI
2/28/2025
2/29/2024
2/28/2023
2/28/2022
Valuation
PEG Ratio-0.870.230.880.83
FCF Yield7.19%7.18%5.96%9.60%
EV / EBITDA9.736.987.769.27
Quality
ROIC10.39%14.73%10.10%10.53%
Gross Margin56.48%56.79%51.84%50.81%
Cash Conversion Ratio1.651.161.332.36
Growth
Revenue 3-Year CAGR10.98%14.19%12.57%12.23%
Free Cash Flow Growth12.33%56.88%-36.41%64.59%
Safety
Net Debt / EBITDA-0.16-1.03-1.06-0.89
Interest Coverage15.8699.5257.9253.96
Efficiency
Inventory Turnover3.394.042.933.35
Cash Conversion Cycle114.10103.70128.7111.52
Bloomsbury Publishing Plc (BMY.L) Financial Analysis - Annual Metrics | AlphaPilot | AlphaPilot