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BTG Consulting plc

Industrials GB BTG

127.0GBX
2.00(1.60%)

Last update at 2026-06-05T15:35:00Z

Day Range

123.00128.00
LowHigh

52 Week Range

86.86123.37
LowHigh

Fundamentals

  • Previous Close 125.00
  • Market Cap189.74M
  • Volume434398
  • P/E Ratio19.64
  • Dividend Yield3.71%
  • EBITDA31.60M
  • Revenue TTM159.40M
  • Revenue Per Share TTM1.00
  • Gross Profit TTM 73.40M
  • Diluted EPS TTM0.06

Source: TradingView
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Financials

Income Statement

Balance Sheet

Change in Cash

Total Operating Cash

Dividends Paid

Breakdown 2025-04-30 2024-04-30 2023-04-30 2022-04-30
Type yearly yearly yearly yearly
Date 2025-04-30 2024-04-30 2023-04-30 2022-04-30
Income before tax 11.50M 5.80M 5.99M 4.05M
Minority interest - - - -
Net income 6.30M 1.50M 2.91M -0.50000M
Selling general administrative 42.20M 35.50M 32.51M 43.11M
Selling and marketing expenses - - - -
Gross profit 67.70M 58.90M 54.12M 47.84M
Reconciled depreciation 4.50M 4.00M 3.43M 9.35M
Ebit - - - -
Ebitda - - - -
Depreciation and amortization - - - -
Non operating income net other - - - -
Operating income 22.40M 18.30M 15.60M 4.88M
Other operating expenses - - - -
Interest expense 2.30M 1.90M 1.10M 0.76M
Tax provision 5.20M 4.30M 3.07M 4.55M
Interest income - - - -
Net interest income -2.40000M -1.90000M -1.17000M -0.83500M
Extraordinary items - - - -
Non recurring - - - -
Other items - - - -
Income tax expense - - - -
Total revenue 153.70M 136.70M 121.83M 110.00M
Total operating expenses 131.30M 118.40M 106.23M 105.12M
Cost of revenue 86.00M 77.80M 67.70M 62.17M
Total other income expense net - - - -
Discontinued operations - - - -
Net income from continuing ops 6.30M 1.50M 2.91M -0.50000M
Net income applicable to common shares - - - -
Preferred stock and other adjustments - - - -
Breakdown 2025-04-30 2024-04-30 2023-04-30 2022-04-30
Type yearly yearly yearly yearly
Date 2025-04-30 2024-04-30 2023-04-30 2022-04-30
Total assets 162.40M 157.80M 151.88M 146.29M
Intangible assets 5.70M 9.50M 13.18M 15.10M
Earning assets - - - -
Other current assets - - - -
Total liab 80.40M 79.40M 67.54M 61.77M
Total stockholder equity 82.00M 78.40M 84.34M 84.53M
Deferred long term liab - - - -
Other current liab 8.70M 7.20M 4.07M 0.34M
Common stock - - - -
Capital stock 8.00M 8.00M 7.73M 7.67M
Retained earnings 14.90M 14.20M 18.39M 19.59M
Other liab - - - -
Good will 63.10M 63.20M 60.21M 60.21M
Other assets - - - -
Cash 7.90M 5.60M 8.00M 9.69M
Cash and equivalents - - - -
Total current liabilities 57.00M 53.00M 46.31M 42.15M
Current deferred revenue - - - -
Net debt - 1.40M - -
Short term debt - - - -
Short long term debt - - - -
Short long term debt total - - - -
Other stockholder equity - - - -
Property plant equipment - - - -
Total current assets 77.90M 69.20M 63.55M 59.35M
Long term investments - - - -
Net tangible assets - - - -
Short term investments - - - -
Net receivables 14.00M 12.90M 11.65M 9.07M
Long term debt 7.00M 7.00M 5.00M 5.00M
Inventory - - - -
Accounts payable 2.20M 2.40M 2.06M 1.67M
Total permanent equity - - - -
Noncontrolling interest in consolidated entity - - - -
Temporary equity redeemable noncontrolling interests - - - -
Accumulated other comprehensive income - - - -
Additional paid in capital - - - -
Common stock total equity - - - -
Preferred stock total equity - - - -
Retained earnings total equity - - - -
Treasury stock - - - -
Accumulated amortization - - - -
Non currrent assets other 0.30M -0.30000M - -
Deferred long term asset charges - - - -
Non current assets total 84.50M 88.60M 88.33M 86.94M
Capital lease obligations 10.00M 11.60M 8.21M 6.34M
Long term debt total - - - -
Breakdown 2025-04-30 2024-04-30 2023-04-30 2022-04-30
Type yearly yearly yearly yearly
Date 2025-04-30 2024-04-30 2023-04-30 2022-04-30
Investments - - - -
Change to liabilities - - - -
Total cashflows from investing activities - - - -
Net borrowings 0.00000M 2.00M 0.00000M 0.00000M
Total cash from financing activities - - - -
Change to operating activities - - - -
Net income 6.30M 1.45M 2.91M -0.50000M
Change in cash 2.30M -2.40000M -1.68400M 1.70M
Begin period cash flow 5.60M 8.00M 9.69M 7.99M
End period cash flow 7.90M 5.60M 8.00M 9.69M
Total cash from operating activities 15.40M 9.20M 6.38M 9.83M
Issuance of capital stock 0.20M 0.50M 0.21M 0.50M
Depreciation 4.50M 4.00M 3.43M 9.35M
Other cashflows from investing activities - - - -
Dividends paid 6.30M 5.90M 5.39M 4.55M
Change to inventory - - - -
Change to account receivables - - - -
Sale purchase of stock -1.60000M -2.90000M 0.00000M -
Other cashflows from financing activities - - - -
Change to netincome - - - -
Capital expenditures 2.00M 1.40M 0.99M 1.06M
Change receivables - - - -
Cash flows other operating - - - -
Exchange rate changes - - - -
Cash and cash equivalents changes - - - -
Change in working capital -0.80000M -4.00000M -2.74400M -1.24400M
Stock based compensation 1.30M 0.60M 1.28M 1.57M
Other non cash items 14.40M 18.10M 15.84M 0.60M
Free cash flow 13.40M 7.80M 5.39M 8.76M

Peer Comparison

Sector: Industrials Industry: Consulting Services

Company Change (GBX) Price (GBX) Trailing PE (x) Forward PE (x) Price Sales TTM (x) Price to Book Value (x) Enterprise Value to Revenue (x) Enterprise Value to EBITDA (x)
BTG
BTG Consulting plc
2.00 1.60% 127.00 19.64 10.39 1.19 2.37 1.30 9.43
EXPN
Experian PLC
10.00 0.38% 2620.00 23.55 17.45 2.92 5.74 4.55 12.79
DATA
GlobalData PLC
-0.8 0.77% 103.00 19.75 9.64 1.73 1.78 2.11 6.50
ELIX
Elixirr International Plc
-22.0 3.03% 704.00 19.47 9.15 2.63 2.44 2.35 9.50
PPHC
Public Policy Holding Company Inc
15.00 1.82% 840.00 - 9.47 1.56 4.73 2.16 117.90

Reports Covered

Stock Research & News

Profile

BTG Consulting plc provides business recovery, financial advisory, and property services consultancy services in the United Kingdom. The company operates in two segments, Business Recovery and Advisory, and Property Advisory. It offers insolvency services, including administration, creditors' voluntary liquidation, company voluntary arrangement, compulsory liquidation, the Law of Property Act receivership, members' voluntary liquidation, partnership liquidation, and personal insolvency services; and restructuring services, such as contingency planning, corporate simplification, debt restructuring, diagnostic business review, optimized exit planning, pre-lend reviews, and turnaround services. The company also provides creditor guides, fee estimates, and work details; capital management, corporate finance, commercial arbitration, forensic, pensions advisory, and transaction support services; finance and funding, including unsecured funding, agricultural, asset, corporate, healthcare, invoice, property, renewables, and vehicle finance services; and real estate advisory services which include commercial property for sale or to let, real estate auctions, building surveying and project consultancy, real estate valuations, real estate management, and real estate insurance services. In addition, it offers business asset sales services; and business sale services. It serves automotive, charities, construction, education, healthcare, hospitality and leisure, manufacturing, media and telecoms, professional and financial services, property services and real estate, public sector, retail, sport, transport and logistics, and travel and tourism sectors. The company was formerly known as Begbies Traynor Group plc and change its name to BTG Consulting plc in February 2026. BTG Consulting plc was founded in 1989 and is headquartered in Manchester, the United Kingdom.

BTG Consulting plc

340 Deansgate, Manchester, United Kingdom, M3 4LY

Key Executives

Name Title Year Born
Mr. Richard William Traynor Executive Chairman 1959
Mr. Mark Robert Fry CEO & Executive Director 1967
Mr. Edward Nicholas Taylor CFO & Executive Director 1970
Ms. Amanda Litchfield Operations Director NA
Mr. Graeme Lipman Director of Business Rescue & Recovery and Corporate Finance NA
Mr. Andrew Dunn Group Marketing & Business Development Partner NA
Mr. Julian Pitts Managing Partner NA
Mr. Anthony Spencer Managing Partner NA
Mr. Kris Wigfield Managing Partner NA
Mr. Martin Barron Partner NA

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