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NEXT plc financials (annual)

Revenue
£5.03B £5.49B £6.12B £6.90B 2023202420252026
Net income
£711.7M £802.3M £736.1M £888.5M 2023202420252026
Free cash flow
£552.7M £932.1M £976.4M £1.06B 2023202420252026

Bars are annual figures from 2023 to 2026; red bars are negative (a loss or cash outflow).

MetricFY2026FY2025FY2024FY2023
Revenue£6.9B£6.1B£5.5B£5.0B
Gross profit£3.0B£2.6B£2.4B£2.2B
SG&A expense£1.8B£1.5B£1.5B£1.2B
Operating income£1.3B£1.1B£968.7M£927.2M
Interest expense£97.2M£96.6M£87.5M£77.9M
Income tax£294.6M£243.8M£215.3M£158.6M
Net income£888.5M£736.1M£802.3M£711.7M
EPS (diluted)£7.45£6.06£6.56£5.70
Operating cash flow£1.2B£1.1B£1.1B£798.8M
Free cash flow£1.1B£976.4M£932.1M£552.7M
Cash & equivalents£96.2M£200.4M£188.3M£105.0M
Inventory£949.5M£865.2M£769.0M£662.2M
Goodwill£217.6M£217.6M£215.7M£55.5M
Total assets£4.9B£4.9B£4.7B£4.0B
Total debt£1.8B£1.9B£1.9B£1.9B
Total liabilities£3.1B£3.1B£3.1B£2.8B
Shareholders' equity£1.7B£1.6B£1.5B£1.2B
Share buybacks£552.9M£360.2M£177.3M£228.5M

Growth · year-over-year · Revenue CAGR 11.1%

MetricFY2026FY2025FY2024FY2023
Revenue growth+12.8%+11.4%+9.1%
Net income growth+20.7%-8.3%+12.7%
EPS growth+23.1%-7.7%+15.0%
Free cash flow growth+8.8%+4.8%+68.6%

Each column is the change versus the prior fiscal year. Growth off a negative or zero base is shown as “—”. CAGR is the compound annual revenue growth across the years shown.

Computed from company filings · GB · as of 2026-01-31. Figures in GBP. Facts plus Stocktoria's own computed scores — not investment advice.