Year ended March 31, 2019 financial summary

28/11/19 11:14 augustine - AUTO TRADER GRP PLC
For the 2019 financial year, according to the Auto Trader Group publications, total annual assets amounted to GBP451.1 million, increasing 9% over the prior year (2018: GBP414 million). Cash and cash equivalents at the end of the year was GBP5.9 million (2018: GBP4.3 million). Revenue for the year was GBP355.1 million, increasing 8% from GBP330.1 million recorded in the same period in 2018. Operating profit increased 10% year-on-year to GBP243.7 million (2018: GBP221.3 million). Profit for the year attributable to the equity holders was GBP197.7 million (2018: GBP171.1 million). Basic earnings per share for the year was 21 pence (2018: 17.74 pence) while diluted earnings per share stood at 20.94 pence (2018: 17.68 pence). 
The currency for balance date 31/03/19 has changed from EUR to GBP.
The currency for balance date 31/03/18 has changed from EUR to GBP.
The position of account Long Term Investments has moved above No account name found.
The position of account Intangible Assets has moved below No account name found.
The position of account Intangible Assets has moved above No account name found.
The position of account Intangible Assets has moved above No account name found.
The position of account Other Assets has moved above No account name found.
The amount value of account Long Term Investments for balance date 31/03/19 changed from 0 GBP to 49,000,000 GBP.
The amount value of account Goodwill for balance date 31/03/19 changed from 313,000,000 GBP to 0 GBP.
The amount value of account Goodwill for balance date 31/03/18 changed from 313,000,000 GBP to 0 GBP.
The amount value of account Intangible Assets for balance date 31/03/19 changed from 0 GBP to 317,500,000 GBP.
The amount value of account Intangible Assets for balance date 31/03/18 changed from 0 GBP to 329,800,000 GBP.
The amount value of account Deferred Long Term Asset Charges for balance date 31/03/19 changed from 5,000,000 GBP to 6,200,000 GBP.
The amount value of account Deferred Long Term Asset Charges for balance date 31/03/18 changed from 5,000,000 GBP to 5,300,000 GBP.
New Account Property Plant And Equipment created.
The amount value of account Property Plant And Equipment for balance date 31/03/19 changed from 0 GBP to 16,700,000 GBP.
The amount value of account Property Plant And Equipment for balance date 31/03/18 changed from 0 GBP to 19,700,000 GBP.
The amount value of account Property Plant And Equipment for balance date 31/03/17 changed from 0 GBP to 6,700,000 GBP.
The amount value of account Property Plant And Equipment for balance date 27/03/16 changed from 0 GBP to 7,400,000 GBP.
The amount value of account Property Plant And Equipment for balance date 29/03/15 changed from 0 GBP to 8,500,000 GBP.
The amount value of account Property Plant And Equipment for balance date 30/03/14 changed from 0 GBP to 4,300,000 GBP.
The amount value of account Cash And Cash Equivalents for balance date 31/03/19 changed from 8,000,000 GBP to 5,900,000 GBP.
The amount value of account Cash And Cash Equivalents for balance date 31/03/18 changed from 8,000,000 GBP to 4,300,000 GBP.
The amount value of account Net Receivables for balance date 31/03/19 changed from 48,000,000 GBP to 56,100,000 GBP.
The amount value of account Net Receivables for balance date 31/03/18 changed from 48,000,000 GBP to 54,900,000 GBP.
The amount value of account Common Stock for balance date 31/03/19 changed from 10,000,000 GBP to 9,300,000 GBP.
The amount value of account Common Stock for balance date 31/03/18 changed from 10,000,000 GBP to 9,500,000 GBP.
The amount value of account Treasury Stock for balance date 31/03/19 changed from 0 GBP to -16,500,000 GBP.
The amount value of account Treasury Stock for balance date 31/03/18 changed from 0 GBP to -16,900,000 GBP.
The amount value of account Retained Earnings for balance date 31/03/19 changed from 1,016,000,000 GBP to 1,095,800,000 GBP.
The amount value of account Retained Earnings for balance date 31/03/18 changed from 1,016,000,000 GBP to 1,042,700,000 GBP.
The amount value of account Capital Surplus for balance date 31/03/19 changed from 0 GBP to 700,000 GBP.
The amount value of account Capital Surplus for balance date 31/03/18 changed from 0 GBP to 500,000 GBP.
The amount value of account Other Stock Holders' Equity for balance date 31/03/19 changed from 0 GBP to -1,030,300,000 GBP.
The amount value of account Other Stock Holders' Equity for balance date 31/03/18 changed from 0 GBP to -1,030,200,000 GBP.
The amount value of account Accounts Payable for balance date 31/03/19 changed from 6,000,000 GBP to 41,800,000 GBP.
The amount value of account Accounts Payable for balance date 31/03/18 changed from 6,000,000 GBP to 28,500,000 GBP.
The amount value of account Short/Current Long Term Debt for balance date 31/03/19 changed from 358,000,000 GBP to 0 GBP.
The amount value of account Short/Current Long Term Debt for balance date 31/03/18 changed from 358,000,000 GBP to 0 GBP.
The amount value of account Other Current Liabilities for balance date 31/03/19 changed from 22,000,000 GBP to 24,500,000 GBP.
The amount value of account Other Current Liabilities for balance date 31/03/18 changed from 22,000,000 GBP to 22,400,000 GBP.
The amount value of account Long Term Debt for balance date 31/03/19 changed from 358,000,000 GBP to 310,300,000 GBP.
The amount value of account Long Term Debt for balance date 31/03/18 changed from 358,000,000 GBP to 340,800,000 GBP.
New Account Other Liabilities created.
The amount value of account Other Liabilities for balance date 31/03/19 changed from 0 GBP to 15,300,000 GBP.
The amount value of account Other Liabilities for balance date 31/03/18 changed from 0 GBP to 16,000,000 GBP.
The amount value of account Other Liabilities for balance date 31/03/17 changed from 0 GBP to 1,100,000 GBP.
The amount value of account Other Liabilities for balance date 27/03/16 changed from 0 GBP to 1,100,000 GBP.
The amount value of account Other Liabilities for balance date 29/03/15 changed from 0 GBP to 2,300,000 GBP.
The amount value of account Other Liabilities for balance date 30/03/14 changed from 0 GBP to 4,600,000 GBP.
The amount value of account Deferred Long Term Liability Charges for balance date 31/03/19 changed from 0 GBP to 500,000 GBP.
The amount value of account Deferred Long Term Liability Charges for balance date 31/03/18 changed from 0 GBP to 700,000 GBP.
The amount value of account Goodwill for balance date 31/03/17 changed from 313,000,000 GBP to 0 GBP.
The amount value of account Goodwill for balance date 27/03/16 changed from 313,000,000 GBP to 0 GBP.
The amount value of account Intangible Assets for balance date 31/03/17 changed from 0 GBP to 320,400,000 GBP.
The amount value of account Intangible Assets for balance date 27/03/16 changed from 0 GBP to 323,400,000 GBP.
The amount value of account Deferred Long Term Asset Charges for balance date 31/03/17 changed from 5,000,000 GBP to 4,700,000 GBP.
The amount value of account Deferred Long Term Asset Charges for balance date 27/03/16 changed from 4,000,000 GBP to 4,300,000 GBP.
The amount value of account Cash And Cash Equivalents for balance date 27/03/16 changed from 10,000,000 GBP to 10,400,000 GBP.
The amount value of account Net Receivables for balance date 31/03/17 changed from 48,000,000 GBP to 50,700,000 GBP.
The amount value of account Net Receivables for balance date 27/03/16 changed from 48,000,000 GBP to 51,700,000 GBP.
The amount value of account Other Current Assets for balance date 27/03/16 changed from 0 GBP to 300,000 GBP.
The amount value of account Common Stock for balance date 31/03/17 changed from 10,000,000 GBP to 9,800,000 GBP.
The amount value of account Treasury Stock for balance date 31/03/17 changed from 0 GBP to -16,900,000 GBP.
The amount value of account Treasury Stock for balance date 27/03/16 changed from 0 GBP to -1,500,000 GBP.
The amount value of account Retained Earnings for balance date 31/03/17 changed from 1,016,000,000 GBP to 1,015,900,000 GBP.
The amount value of account Retained Earnings for balance date 27/03/16 changed from 971,000,000 GBP to 970,900,000 GBP.
The amount value of account Capital Surplus for balance date 31/03/17 changed from 0 GBP to 200,000 GBP.
The amount value of account Other Stock Holders' Equity for balance date 31/03/17 changed from 0 GBP to -1,030,400,000 GBP.
The amount value of account Other Stock Holders' Equity for balance date 27/03/16 changed from 0 GBP to -1,030,900,000 GBP.
The amount value of account Accounts Payable for balance date 31/03/17 changed from 6,000,000 GBP to 33,300,000 GBP.
The amount value of account Accounts Payable for balance date 27/03/16 changed from 8,000,000 GBP to 36,600,000 GBP.
The amount value of account Short/Current Long Term Debt for balance date 31/03/17 changed from 358,000,000 GBP to 0 GBP.
The amount value of account Short/Current Long Term Debt for balance date 27/03/16 changed from 396,000,000 GBP to 0 GBP.
The amount value of account Other Current Liabilities for balance date 31/03/17 changed from 22,000,000 GBP to 19,500,000 GBP.
The amount value of account Other Current Liabilities for balance date 27/03/16 changed from 17,000,000 GBP to 15,400,000 GBP.
The amount value of account Long Term Debt for balance date 31/03/17 changed from 358,000,000 GBP to 357,800,000 GBP.
The amount value of account Long Term Debt for balance date 27/03/16 changed from 396,000,000 GBP to 395,600,000 GBP.
The amount value of account Deferred Long Term Liability Charges for balance date 31/03/17 changed from 0 GBP to 200,000 GBP.
The amount value of account Deferred Long Term Liability Charges for balance date 27/03/16 changed from 0 GBP to 300,000 GBP.
The amount value of account Goodwill for balance date 29/03/15 changed from 312,000,000 GBP to 0 GBP.
The amount value of account Goodwill for balance date 30/03/14 changed from 313,000,000 GBP to 0 GBP.
The amount value of account Intangible Assets for balance date 29/03/15 changed from 0 GBP to 330,000,000 GBP.
The amount value of account Intangible Assets for balance date 30/03/14 changed from 0 GBP to 338,400,000 GBP.
The amount value of account Deferred Long Term Asset Charges for balance date 29/03/15 changed from 5,000,000 GBP to 4,600,000 GBP.
The amount value of account Deferred Long Term Asset Charges for balance date 30/03/14 changed from 5,000,000 GBP to 4,800,000 GBP.
The amount value of account Cash And Cash Equivalents for balance date 29/03/15 changed from 22,000,000 GBP to 22,100,000 GBP.
The amount value of account Cash And Cash Equivalents for balance date 30/03/14 changed from 13,000,000 GBP to 12,600,000 GBP.
The amount value of account Net Receivables for balance date 29/03/15 changed from 33,000,000 GBP to 49,000,000 GBP.
The amount value of account Net Receivables for balance date 30/03/14 changed from 46,000,000 GBP to 52,900,000 GBP.
The amount value of account Other Current Assets for balance date 29/03/15 changed from 0 GBP to 300,000 GBP.
The amount value of account Other Current Assets for balance date 30/03/14 changed from 2,000,000 GBP to 2,200,000 GBP.
The amount value of account Common Stock for balance date 29/03/15 changed from 1,644,000,000 GBP to 1,500,000,000 GBP.
The amount value of account Common Stock for balance date 30/03/14 changed from 2,000,000 GBP to 100,000 GBP.
The amount value of account Treasury Stock for balance date 29/03/15 changed from 0 GBP to 29,400,000 GBP.
The amount value of account Treasury Stock for balance date 30/03/14 changed from 95,000,000 GBP to 95,300,000 GBP.
The amount value of account Retained Earnings for balance date 29/03/15 changed from 0 GBP to -789,100,000 GBP.
The amount value of account Retained Earnings for balance date 30/03/14 changed from 0 GBP to -1,023,200,000 GBP.
The amount value of account Capital Surplus for balance date 29/03/15 changed from 0 GBP to 144,400,000 GBP.
The amount value of account Capital Surplus for balance date 30/03/14 changed from 0 GBP to 1,500,000 GBP.
The amount value of account Other Stock Holders' Equity for balance date 29/03/15 changed from 0 GBP to -1,060,800,000 GBP.
The amount value of account Other Stock Holders' Equity for balance date 30/03/14 changed from 0 GBP to 175,500,000 GBP.
The amount value of account Accounts Payable for balance date 29/03/15 changed from 5,000,000 GBP to 40,400,000 GBP.
The amount value of account Accounts Payable for balance date 30/03/14 changed from 7,000,000 GBP to 38,300,000 GBP.
The amount value of account Short/Current Long Term Debt for balance date 29/03/15 changed from 541,000,000 GBP to 0 GBP.
The amount value of account Short/Current Long Term Debt for balance date 30/03/14 changed from 1,108,000,000 GBP to 0 GBP.
The amount value of account Other Current Liabilities for balance date 29/03/15 changed from 7,000,000 GBP to 6,600,000 GBP.
The amount value of account Other Current Liabilities for balance date 30/03/14 changed from 15,000,000 GBP to 14,900,000 GBP.
The amount value of account Long Term Debt for balance date 29/03/15 changed from 541,000,000 GBP to 540,700,000 GBP.
The amount value of account Long Term Debt for balance date 30/03/14 changed from 1,107,000,000 GBP to 1,107,200,000 GBP.
The amount value of account Deferred Long Term Liability Charges for balance date 29/03/15 changed from 0 GBP to 600,000 GBP.
The amount value of account Deferred Long Term Liability Charges for balance date 30/03/14 changed from 0 GBP to 800,000 GBP.