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XLON
DLG
Market cap5.32bUSD
Jul 01, Last price  
305.00GBP
Name

Direct Line Insurance Group PLC

Chart & Performance

D1W1MN
P/E
2,435.12
P/S
87.24
EPS
0.13
Div Yield, %
1.97%
Shrs. gr., 5y
-0.97%
Rev. gr., 5y
2.94%
Revenues
4.54b
4,538,500,000
Net income
163m
162,600,000
CFO
-365m
-364,500,000
Dividend
Sep 12, 20242 GBP/sh
Earnings
Sep 02, 2025

Profile

Direct Line Insurance Group plc provides general insurance products and services in the United Kingdom. The company operates through Motor, Home, Rescue and Other Personal Lines, and Commercial segments. It offers motor, home, rescue, travel, creditor, and pet insurance products, as well as insurance for mid-to-high-net worth customers; and commercial insurance for small and medium-sized enterprises. The company also provides management, motor vehicle repair, insurance intermediary, support and operational, legal, and breakdown recovery services. It sells its insurance products directly through price comparison Websites and phone, as well as through partners and brokers under the Direct Line, Churchill, Green Flag, Direct Line for Business, DLG Partnerships, NIG, Privilege, DLG Legal Services, Darwin, and DLG Auto Services brands. The company was formerly known as RBS Insurance Group Limited and changed its name to Direct Line Insurance Group plc in February 2012. Direct Line Insurance Group plc was founded in 1985 and is based in Bromley, the United Kingdom.
IPO date
Oct 11, 2012
Employees
9,387
Domiciled in
GB
Incorporated in
GB

Valuation

Title
GBP in thousands, except ratios and share amounts
FY
2024‑12
Income
Revenues
4,538,500
 
Cost of revenue
Unusual Expense (Income)
NOPBT
4,538,500
NOPBT Margin
100.00%
Operating Taxes
55,800
Tax Rate
1.23%
NOPAT
4,482,700
Net income
162,600
 
Dividends
(94,800)
Dividend yield
Proceeds from repurchase of equity
(7,200)
BB yield
Debt
Debt current
66,800
Long-term debt
486,500
Deferred revenue
7,900
Other long-term liabilities
(380,700)
Net debt
(4,654,900)
Cash flow
Cash from operating activities
(364,500)
CAPEX
(13,300)
Cash from investing activities
(106,500)
Cash from financing activities
(129,600)
FCF
Balance
Cash
1,175,400
Long term investments
4,032,800
Excess cash
4,981,275
Stockholders' equity
695,500
Invested Capital
8,166,400
ROIC
54.89%
ROCE
51.21%
EV
Common stock shares outstanding
1,318,400
Price
Market cap
EV
EBITDA
4,678,000
EV/EBITDA
Interest
15,100
Interest/NOPBT
0.33%