|Last Price||221.40||Max Price||235.70|
|Min Price||142.90||1 Year return||38.25|
The period between December 2015 and December 2016 was a loss-making period for the investors in Taylor Wimpey. The stock lost around 22 percent. Taylor Wimpey' stock rose the past 5 years at around 324 percent. Taylor Wimpey's revenues between 2011 and 2015 were very volatile and moved between 201,9 billion GBp and 313,98 billion GBp. Taylor Wimpey's net incomes between 2011 and 2015 were very volatile through the time and moved between 6,87 billion GBp and 48,27 billion GBp.
Taylor Wimpey primarily operates in the construction/infrastructure sector. Between 2006 and 2016 the global construction/infrastructure companies gained around 13 percent. Since 2011 the sector is 46 percent higher and over the past year minus 13 percent.
The English company paid out dividends in the past 5 years. Over the past 5 years the stock delivered an average dividend return of 4,92 percent.
At the end of 2015 the English company's balance sheet was worth 453,11 billion GBp. 180,85 billion GBp (39,91 percent of the total balance sheet) was financed by debt. As per the end of 2015 Taylor Wimpey's price/earnings-ratio equaled 9. So investors paid for 1 stock 9 times the earnings per share of 2015. Based on it's price/earnings-ratio and dividend yield the English stock can be seen as a value stock.
At the end of 2015 the English company's market capitalization equaled around 659,53 billion GBp. At the end of 2015 the English company had around 3,25 billion stocks listed on the exchanges.