Team Internet Group PLC (LSE:TIG) — Stock Price

GBX41.00 GBX
▲ 0.00% today

Team Internet Group PLC (LSE:TIG) is currently trading at GBX41.00 GBX, up 0.00% today. Over the past 52 weeks, shares have ranged between GBX32.00 and GBX64.10. This page tracks Team Internet Group PLC's live share price on the LSE exchange, its daily price and volume history, and — where reported — its income statement, balance sheet, cash flow statement, and earnings history. For company valuation and market capitalisation context, see TIG market cap overview.

Team Internet Group PLC (TIG) Stock Price Chart — Daily History & Trading Volume

The chart below tracks Team Internet Group PLC's daily closing share price and trading volume on the LSE exchange over the past year, giving a clear view of recent price momentum and liquidity.

Team Internet Group PLC Income Statement — Revenue, Profit & Earnings by Year

Team Internet Group PLC's annual income statement shows how revenue converts into profit each fiscal year, including gross profit, operating income, EBITDA, and net income.

Fiscal Year 20242023202220212020
Total Revenue GBX802.80 Million GBX836.90 Million GBX728.20 Million GBX410.54 Million GBX240.01 Million
Cost of Revenue GBX615.30 Million GBX645.80 Million GBX550.50 Million GBX292.04 Million GBX164.89 Million
Gross Profit GBX187.50 Million GBX191.10 Million GBX177.70 Million GBX118.50 Million GBX75.12 Million
Research & Development
SG&A GBX138.44 Million GBX101.14 Million GBX70.70 Million
Total Operating Expenses GBX179.30 Million GBX148.80 Million GBX144.10 Million GBX106.15 Million GBX77.20 Million
Operating Income GBX8.20 Million GBX42.30 Million GBX33.60 Million GBX12.35 Million GBX-2.08 Million
EBITDA GBX27.60 Million GBX85.80 Million GBX60.50 Million GBX32.73 Million GBX11.94 Million
EBIT GBX8.20 Million GBX44.40 Million GBX26.20 Million GBX10.93 Million GBX-3.89 Million
Interest Expense GBX17.00 Million GBX15.10 Million GBX13.40 Million GBX9.38 Million GBX7.94 Million
Income Before Tax GBX-9.30 Million GBX29.30 Million GBX14.80 Million GBX1.55 Million GBX-11.83 Million
Income Tax Expense GBX8.40 Million GBX5.00 Million GBX16.90 Million GBX5.10 Million GBX-975.00K
Net Income GBX-17.70 Million GBX24.30 Million GBX-2.10 Million GBX-3.54 Million GBX-10.86 Million

Team Internet Group PLC Balance Sheet — Assets, Liabilities & Shareholder Equity

The balance sheet below summarizes Team Internet Group PLC's financial position at each fiscal year-end — what it owns (assets), what it owes (liabilities), and the resulting shareholder equity.

Fiscal Year 20242023202220212020
Total Assets GBX479.60 Million GBX546.70 Million GBX558.60 Million GBX400.22 Million GBX348.18 Million
Total Current Assets GBX180.80 Million GBX199.60 Million GBX193.60 Million GBX128.39 Million GBX77.61 Million
Cash & Equivalents
Short-term Investments
Net Receivables GBX91.50 Million GBX88.10 Million GBX76.92 Million GBX48.97 Million GBX31.51 Million
Inventory GBX200.00K GBX200.00K GBX600.00K GBX895.00K GBX1.01 Million
Property, Plant & Equipment GBX7.36 Million GBX8.60 Million GBX8.68 Million
Goodwill GBX204.70 Million GBX216.60 Million GBX213.70 Million GBX156.04 Million GBX149.66 Million
Total Liabilities GBX386.50 Million GBX393.20 Million GBX391.60 Million GBX286.24 Million GBX234.29 Million
Total Current Liabilities GBX173.70 Million GBX208.30 Million GBX197.60 Million GBX137.13 Million GBX96.42 Million
Long-term Debt GBX147.70 Million GBX145.87 Million GBX119.25 Million GBX107.82 Million
Net Debt GBX100.60 Million GBX78.70 Million GBX56.40 Million GBX74.97 Million GBX84.98 Million
Total Stockholder Equity GBX93.10 Million GBX153.50 Million GBX167.00 Million GBX113.98 Million GBX113.90 Million
Retained Earnings GBX79.90 Million GBX128.50 Million GBX50.00 Million GBX52.53 Million GBX56.07 Million

Team Internet Group PLC Cash Flow Statement — Operating, Investing & Financing Activities

This cash flow statement breaks down how Team Internet Group PLC generates and spends cash across operating, investing, and financing activities each fiscal year, including free cash flow and capital expenditures.

Fiscal Year 20242023202220212020
Operating Cash Flow GBX76.60 Million GBX75.40 Million GBX77.60 Million GBX41.02 Million GBX20.70 Million
Capital Expenditures GBX1.30 Million GBX10.20 Million GBX6.50 Million GBX4.81 Million GBX4.26 Million
Free Cash Flow GBX75.30 Million GBX65.20 Million GBX71.10 Million GBX36.22 Million GBX16.44 Million
Investing Cash Flow GBX-44.70 Million GBX-37.30 Million GBX-90.60 Million GBX-24.87 Million GBX-44.98 Million
Financing Cash Flow GBX-32.10 Million GBX-43.40 Million GBX57.00 Million GBX14.04 Million GBX25.64 Million
Dividends Paid GBX-9.80 Million GBX-3.60 Million
Stock-Based Compensation GBX600.00K GBX4.50 Million GBX5.70 Million GBX5.01 Million GBX5.11 Million
Depreciation GBX43.70 Million GBX41.40 Million GBX34.30 Million GBX21.80 Million GBX15.83 Million
Change in Cash GBX-4.40 Million GBX-2.10 Million GBX38.70 Million GBX27.48 Million GBX2.47 Million

Team Internet Group PLC Earnings History — EPS Actual vs. Analyst Estimates

Track Team Internet Group PLC's quarterly earnings per share (EPS) against Wall Street estimates, along with the earnings surprise percentage for each reporting period.

Report Date EPS Actual EPS Estimate Surprise
May 28, 2026 0.00 0.00
Mar 23, 2026
Nov 28, 2025 0.00 0.00
Sep 01, 2025 0.06
Jun 04, 2025 0.00 0.00
Mar 31, 2025 -9.37 0.15 -6182.21%
Nov 11, 2024 0.64
Aug 12, 2024 1.54