Smith & Nephew (SN.)

Sector:

Health Care

Index:

FTSE 100

1,069.00p
   
  • Change Today:
      1.00p
  • 52 Week High: 1,208.50p
  • 52 Week Low: 917.60p
  • Currency: UK Pounds
  • Shares Issued: 875.94m
  • Volume: 1,609,983
  • Market Cap: £9,364m
  • RiskGrade: 173

Growth Ratings

EPS Growth shows the relative growth of a company's earnings over the last year.

The rise in total monies receivable for goods / services sold before expenses.

1yr EPS Growth
6.16% below the market average6.16% below the market average6.16% below the market average6.16% below the market average6.16% below the market average
81.82% below the sector average81.82% below the sector average81.82% below the sector average81.82% below the sector average81.82% below the sector average
1yr Revenue Growth
2.55% above the market average2.55% above the market average2.55% above the market average2.55% above the market average2.55% above the market average
54.29% below the sector average54.29% below the sector average54.29% below the sector average54.29% below the sector average54.29% below the sector average

Income Ratings

The percentage of the share price that a company pays out as dividends over a year.

The percentage change from the previous year in the dividend paid on each share.

Dividend Yield
31.76% below the market average31.76% below the market average31.76% below the market average31.76% below the market average31.76% below the market average
42.86% above the sector average42.86% above the sector average42.86% above the sector average42.86% above the sector average42.86% above the sector average
1yr DPS Growth Not Available

Valuation Ratings

The share price as a ratio of revenue per share.

The share price as a ratio of net asset value.

Price Sales Ratio Not Available
Price Book Ratio
52.06% below the market average52.06% below the market average52.06% below the market average52.06% below the market average52.06% below the market average
15.15% below the sector average15.15% below the sector average15.15% below the sector average15.15% below the sector average15.15% below the sector average

Performance Ratings

In percentage total change in share price over 30 days.

In percentage total change in share price over 3 months.

Price Chg 30d
35.83% above the market average35.83% above the market average35.83% above the market average35.83% above the market average35.83% above the market average
56.76% above the sector average56.76% above the sector average56.76% above the sector average56.76% above the sector average56.76% above the sector average
Price Chg 3m
55.24% above the market average55.24% above the market average55.24% above the market average55.24% above the market average55.24% above the market average
56.76% above the sector average56.76% above the sector average56.76% above the sector average56.76% above the sector average56.76% above the sector average

Technical Ratings

The Relative Strength Index measures a share price relative to itself and its recent history.

Momentum is an oscillator that measures the rate of price change.

RSI
2.54% above the market average2.54% above the market average2.54% above the market average2.54% above the market average2.54% above the market average
31.43% above the sector average31.43% above the sector average31.43% above the sector average31.43% above the sector average31.43% above the sector average
Momentum 20
76.36% above the market average76.36% above the market average76.36% above the market average76.36% above the market average76.36% above the market average
88.57% above the sector average88.57% above the sector average88.57% above the sector average88.57% above the sector average88.57% above the sector average

Management Ratings

Operating Margin is profit as a percentage of sales.

Return on capital employed measures the return from invested and borrowed capital.

Operating Margin
11.61% above the market average11.61% above the market average11.61% above the market average11.61% above the market average11.61% above the market average
70.59% above the sector average70.59% above the sector average70.59% above the sector average70.59% above the sector average70.59% above the sector average
ROCE
7.15% above the market average7.15% above the market average7.15% above the market average7.15% above the market average7.15% above the market average
23.08% below the sector average23.08% below the sector average23.08% below the sector average23.08% below the sector average23.08% below the sector average

Profitability Ratings

Earnings per share, the company's profitability expressed on a per share basis.

Analysts' estimates of future EPS for the next 2 years.

EPS
84.07% above the market average84.07% above the market average84.07% above the market average84.07% above the market average84.07% above the market average
88.24% above the sector average88.24% above the sector average88.24% above the sector average88.24% above the sector average88.24% above the sector average
Forecast EPS
55.80% above the market average55.80% above the market average55.80% above the market average55.80% above the market average55.80% above the market average
77.78% above the sector average77.78% above the sector average77.78% above the sector average77.78% above the sector average77.78% above the sector average

Profit/Loss Ratings

Monies produced from sales of goods and services after trade discounts, VAT, etc.

Operating Profit is the profit after deducting operating costs from gross profits.

Turnover
87.23% above the market average87.23% above the market average87.23% above the market average87.23% above the market average87.23% above the market average
100.00% above the sector average100.00% above the sector average100.00% above the sector average100.00% above the sector average100.00% above the sector average
Operating Profit Loss
89.44% above the market average89.44% above the market average89.44% above the market average89.44% above the market average89.44% above the market average
100.00% above the sector average100.00% above the sector average100.00% above the sector average100.00% above the sector average100.00% above the sector average

Balance Sheet Ratings

The difference between current assets and current liabilities.

A current asset representing the company's financial liquidity.

Assets
90.34% above the market average90.34% above the market average90.34% above the market average90.34% above the market average90.34% above the market average
100.00% above the sector average100.00% above the sector average100.00% above the sector average100.00% above the sector average100.00% above the sector average
Cash
86.76% above the market average86.76% above the market average86.76% above the market average86.76% above the market average86.76% above the market average
100.00% above the sector average100.00% above the sector average100.00% above the sector average100.00% above the sector average100.00% above the sector average

Director Deal Ratings

The cumulative amount of stocks sold by company directors over 1 year

The cumulative amount of stocks bought by company directors over 1 year

Sells 1y
6.64% below the market average6.64% below the market average6.64% below the market average6.64% below the market average6.64% below the market average
25.00% above the sector average25.00% above the sector average25.00% above the sector average25.00% above the sector average25.00% above the sector average
Buys 1y
99.78% above the market average99.78% above the market average99.78% above the market average99.78% above the market average99.78% above the market average
100.00% above the sector average100.00% above the sector average100.00% above the sector average100.00% above the sector average100.00% above the sector average

Broker Ratings

The percentage of stockbrokers that rate the company as a Buy

The percentage of stockbrokers that rate the company as a Hold

Brokers Percent Buy
77.52% below the market average77.52% below the market average77.52% below the market average77.52% below the market average77.52% below the market average
83.33% below the sector average83.33% below the sector average83.33% below the sector average83.33% below the sector average83.33% below the sector average
Brokers Percent Neutral
71.25% above the market average71.25% above the market average71.25% above the market average71.25% above the market average71.25% above the market average
60.00% above the sector average60.00% above the sector average60.00% above the sector average60.00% above the sector average60.00% above the sector average

Note 1: Prices and trades are provided by Digital Look Corporate Solutions and are delayed by at least 15 minutes.

Note 2: RiskGrade figures are provided by RiskMetrics.

 

Smith and Nephew Market Data

Currency UK Pounds
Share Price 1,069.00p
Change Today 1.00p
% Change 0.09 %
52 Week High 1,208.50p
52 Week Low 917.60p
Volume 1,609,983
Shares Issued 875.94m
Market Cap £9,364m
RiskGrade 173

Smith and Nephew Star Ratings

Compare performance with the sector and the market.
more star ratings
Key: vs Market vs Sector
Value
87.55% below the market average87.55% below the market average87.55% below the market average87.55% below the market average87.55% below the market average
17.65% above the sector average17.65% above the sector average17.65% above the sector average17.65% above the sector average17.65% above the sector average
Price Trend
47.44% above the market average47.44% above the market average47.44% above the market average47.44% above the market average47.44% above the market average
56.76% above the sector average56.76% above the sector average56.76% above the sector average56.76% above the sector average56.76% above the sector average
Income
38.42% below the market average38.42% below the market average38.42% below the market average38.42% below the market average38.42% below the market average
75.00% above the sector average75.00% above the sector average75.00% above the sector average75.00% above the sector average75.00% above the sector average
Growth
2.58% above the market average2.58% above the market average2.58% above the market average2.58% above the market average2.58% above the market average
94.29% below the sector average94.29% below the sector average94.29% below the sector average94.29% below the sector average94.29% below the sector average

What The Brokers Say

Strong Buy 4
Buy 3
Neutral 10
Sell 0
Strong Sell 1
Total 18
buy
Broker recommendations should not be taken as investment advice, and are provided by the authorised brokers listed on this page.

Smith and Nephew Dividends

  Latest Previous
  Final Interim
Ex-Div 27-Mar-25 03-Oct-24
Paid 28-May-25 08-Nov-24
Amount 23.10¢ 14.40¢

Trades for 09-May-2025

Time Volume / Share Price
16:38 600 @ 1,069.00p
16:38 352 @ 1,069.00p
16:38 648 @ 1,069.00p
16:38 500 @ 1,069.00p
16:38 1,148 @ 1,069.00p

Smith and Nephew Key Personnel

CEO Deepak Nath
CFO John Rogers

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