Manchester United plc

NYSE:MANU

18.17 (USD) • At close June 27, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

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Assets:
Current Assets:
Cash & Cash Equivalents 73.21195.542149.55873.54966.99462.80980.82976.01973.73331.04524.277121.22395.79187.43498.666110.65884.71580.6258.9451.53990.251100.856140.307307.637193.855190.395247.505242.022161.717155.312216.236290.267152.653122.704164.277229.194104.202121.611143.525155.75211.20437.11590.26666.36534.34472.14483.60294.43336.21166.63152.52770.60325.576150.645
Short Term Investments 00001.3472.2113.4974.1730000000000000000000000000000000000000000000000
Cash and Short Term Investments 73.21195.542149.55873.54966.99462.80980.82976.01973.73331.04524.277121.22395.79187.43498.666110.65884.71580.6258.9451.53990.251100.856140.307307.637193.855190.395247.505242.022161.717155.312216.236290.267152.653122.704164.277229.194104.202121.611143.525155.75211.20437.11590.26666.36534.34472.14483.60294.43336.21166.63152.52770.60325.576150.645
Net Receivables 165.7148.62387.27679.51293.395145.27287.9489.744123.194169.91497.36385.449102.287123.89184.44190.91485.112128.70296.617161.95183.806105.64391.90565.214186.097124.8379.046157.09179.05994.85465.34290.23273.371112.75151.483116.05286.13968.94393.08473.64104.59375.7860.482115.65968.93455.37245.26656.59865.05664.4773.43866.03845.19955.403
Inventory 12.00313.42312.4413.5433.7574.0245.0463.1652.6453.2723.7522.22.6922.8762.7712.082.3632.7923.5422.1862.4032.5352.6642.132.0832.612.6661.4161.3981.9182.0741.6371.3481.0931.4220.9261.2931.5041.3600-0.505000019.026-0.085-32.300000
Other Current Assets 19.48129.83736.56620.67618.77429.38443.06424.80422.48933.96343.04922.13121.7521.99827.0897.72513.43117.95921.6947.67711.55813.21115.67913.3420.5110.62514.13312.02114.56513.60317.50616.71817.27116.22722.43220.49313.65214.83512.84210.1384.4528.56111.1639.468.39713.61619.90812.28112.2870.1611.22811.5920.4010
Total Current Assets 270.395287.425285.841177.28182.92241.489216.879193.732228.502245.099174.917237.162224.386238.143212.967212.945185.621231.667182.454224.806189.362222.245250.555388.323382.546318.46343.35413.457256.739265.687301.158398.854244.643252.775239.614366.665205.286206.893250.811239.53120.398121.456161.911191.484111.675141.132148.776163.312113.554131.262127.193148.23371.176206.048
Non-Current Assets:
Property, Plant & Equipment, Net 287.402274.71273.344264.313262.821263.445265.378262.042245.682246.787248.319246.733248.262249.592251.253251.442253.704255.113257.205258.998259.978258.691256.684246.032246.396246.91247.542245.401245.186246.673246.831244.738244.137244.064245.004245.714247.2248.314249.449250.626252.494254.398254.338254.859255.332256.511256.244252.808252.888253.609250.479247.866243.863240.54
Goodwill 421.4530421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453421.453
Intangible Assets 521.054946.014566.221416.1117.855501.074545.313390.929421.854450.076499.488321.825355.072390.799427.406333.014355.134356.02359.193353.717363.293337.023364.2347.404297.098318.0199.082378.187330.563348.623384.241296.091286.125351.807378.837244.181230.23241.892261.241238.944237.76270.061292.496204.572161.769132.123144.68119.947126.457125.945135.634112.39999.362129.709
Goodwill and Intangible Assets 942.507946.014987.674837.564877.283922.527966.766812.382843.307871.529920.941743.278776.525812.252848.859754.467776.587777.473780.646775.17784.746758.476785.653768.857718.551739.472767.435799.64752.016770.076805.694717.544707.578773.26800.29665.634651.683663.345682.694660.397659.213691.514713.949626.025583.222553.576566.133541.4547.91547.398557.087533.852520.815551.162
Long Term Investments 000000003.8094.90102.4580.89000000000000.74705.3884.493.3350.90700000000.010000.2351.15500.7911.01300000006.938
Tax Assets 25.336016.84817.60711.0106.2440-3.809-4.9010.644-2.458-0.8900061.92861.78654.71258.36254.06153.86255.51458.41557.05757.63661.38663.33280.40980.341136.705141.485144.329144.942148.016145.46133.64132.91137.214133.64147.284128.797133.038129.631128.368134.261139.434145.12816.40215.48124.589000
Other Non-Current Assets 67.37392.29979.25648.02345.14444.55165.12749.78856.6563.54676.21166.49262.74365.87168.3441.45647.67155.56146.53366.1368.26665.37866.8334.89824.2827.26524.68519.42420.58926.62824.40431.03131.12720.76421.37828.4326.70925.54824.80617.39515.9114.23713.64313.71213.84113.86914.29215.66316.61115.6415.66917.19729.7112.5
Total Non-Current Assets 1,322.6181,313.0231,357.1221,167.5071,196.2581,230.5231,303.5151,124.2121,145.6391,181.8621,246.1151,056.5031,087.531,127.7151,168.4521,047.3651,139.891,149.9331,139.0961,158.661,167.0511,136.4071,164.6811,108.2021,047.0311,071.2831,106.4361,132.2871,101.5351,124.6251,213.6341,134.7981,127.1711,183.031,214.6881,085.2381,059.2321,070.1271,094.1631,062.0581,074.9011,089.1811,116.1231,024.227981.554959.23976.103954.999833.811832.128847.824798.915794.388811.14
Total Assets 1,593.0131,600.4481,642.9631,344.7871,379.1781,472.0121,520.3941,317.9441,374.1411,426.9611,421.0321,293.6651,311.9161,365.8581,381.4191,260.311,325.5111,381.61,321.551,383.4661,356.4131,358.6521,415.2361,496.5251,429.5771,389.7431,449.7861,545.7441,358.2741,390.3121,514.7921,533.6521,371.8141,435.8051,454.3021,451.9031,264.5181,277.021,344.9741,301.5881,195.2991,210.6371,278.0341,215.7111,093.2291,100.3621,124.8791,118.311947.365963.39975.017947.148865.5641,017.188
Liabilities & Equity:
Current Liabilities:
Account Payables 221.708297.598309.542165.453145.329159.014184.205142.059135.081130.52151.90991.562100.017104.307123.50176.62282.10884.98490.356105.91890.62576.65681.306119.206185.733180.588185.028164.249125.423117.729129.474190.315101.464105.661107.158127.429107.486113.809125.96172.45766.40973.30886.61256.15234.17132.66835.04834.01434.0766.10679.43727.78347.509117.8
Short Term Debt 213.154216.418232.76336.508143.69267.653205.351106.997204.457207.05103.892107.318103.931105.94863.1966.44463.62365.6823.0336.6723.9896.913.9845.4532.1975.4922.2649.0745.969.166.236-450.5442.76.1582.6835.5642.3566.0573.1870.4852.956.4472.73115.00511.99115.4387.57111.7595.48717.6255.7415.6286.60416.573
Tax Payables 11.9280.9660.91422.0720.85114.2470.68420.59515.14618.52930.12422.07318.80416.85944.57938.52738.96737.27747.16936.27321.38719.57826.39416.7147.8985.7712.67521.79112.77914.55124.6939.77218.25420.79722.16822.63116.42711.87118.73114.8178.8439.05417.64612.6611.39912.95217.25816.62111.7821.1281.12816.7911.1274.338
Deferred Revenue 171.4720224.842198.628102.643149.643214.666169.624130.081160.554171.344165.847140.047155.931189.675117.984108.766137.447165.483171.57499.24143.577206.643190.146156.138129.662224.547180.51276.681119.67194.39203.44599.5147.239196.126188.844104.411124.888189.129186.608109.484128.431185.519180.61387.941130.49166.757146.27894.936131.712150.714128.53564.408110.043
Other Current Liabilities 77.329178.25215.76672.3385.49870.86994.33787.59597.94191.63777.513108.042101.23889.9472.57184.45573.28763.52858.86177.90783.4265.51966.56497.3250.130085.8372.80454.38957.0421.25364.42348.6347.59659.27549.13446.16649.63949.0846.97643.71238.61837.29435.11728.46227.1329.21732.6950.4980.42640.6460.4432.57
Total Current Liabilities 695.591693.234783.827494.991478.011661.426699.243526.87582.706608.29534.782494.842464.037472.985493.516384.032366.751388.918364.902398.344298.661312.24384.891428.844352.096321.513414.514461.456293.647315.499411.835410.509286.341328.485375.731403.743279.814302.791386.647323.447234.662260.952331.126301.724180.619220.01253.764237.889178.97217.069237.445229.383120.091251.324
Non-Current Liabilities:
Long Term Debt 508.635523.737489.941518.754518.899514.213536.553515.179523.849538.129579.955533.234492.149480.046479.152468.132469.231474.281500.515523.336520.491490.478526.429508.077493.336502.576492.438486.694457.011474.748478.588497.63516.34526.723508.078494.238457.511440.038430.618410.593394.506374.992360.373327.901340.726342.207354.715378.811363.673349.005353.966421.247416.676442.33
Deferred Revenue Non-Current 6.23407.2695.3476.8348.0597.8166.6593.8427.27420.38216.69719.05724.6116.82922.94211.27913.77226.9718.75925.56223.60526.98833.35451.07932.95235.24837.08532.20832.70435.0639.64834.14232.92735.83638.89915.96116.94419.42221.58324.46414.2615.29115.63114.4412.82818.02317.08217.984.8887.1319.37511.61918.349
Deferred Tax Liabilities Non-Current 000000.92403.3041.9392.41307.40222.88230.42230.81435.54625.2730.85124.94431.33737.12637.76630.46631.86533.67833.30229.67329.13433.89131.83425.80221.53612.09213.27411.97514.36412.7414.0715.28117.31126.56924.08526.02228.83729.1422.18414.91317.16822.41628.16125.60826.67831.99554.406
Other Non-Current Liabilities 185.138186.763213.747180.805199.063191.373212.614171.945157.297170.79184.683138.081144.243111.05114.43977.14673.42268.19964.86460.45860.51833.56435.806144.402130.337112.898110.381170.49141.097134.869130.7684.242111.322112.931115.22395.6448.83450.67354.30189.6392.92186.1889.0287.43672.39350.61952.20553.65162.87223.87326.1825.36825.75330.356
Total Non-Current Liabilities 700.007710.5710.957704.906717.962714.569749.167687.124686.927708.919785.02671.315636.392646.128641.234603.766579.202587.103617.293633.89643.697585.413619.689652.479623.673615.474602.819657.184598.108609.617609.348643.056627.662639.654623.301589.878506.345490.711484.919500.223487.427461.172449.393415.337413.119392.826406.92432.462426.545405.927412.885482.668486.043545.441
Total Liabilities 1,395.5981,403.7341,494.7841,199.8971,195.9731,375.9951,448.411,213.9941,269.6331,317.2091,319.8021,166.1571,100.4291,119.1131,134.75987.798945.953976.021982.1951,032.234942.358897.6531,004.581,081.323975.769936.9871,017.3331,118.64891.755925.1161,021.1831,053.565914.003968.139999.032993.621786.159793.502871.566823.67722.089722.124780.519717.061593.738612.836660.684670.351605.515622.996650.33712.051606.134796.765
Equity:
Preferred Stock 000000000000000000000000000000000000000000000000000000
Common Stock 0.0560.0560.0550.0550.0550.0530.0530.0530.0530.0530.0530.0530.0530.0530.0530.0530.0530.0530.0530.0530.0530.0530.0530.0530.0530.0530.0530.0530.0530.0530.0530.0530.0520.0520.0520.0520.0520.0520.0520.0520.0520.0520.0520.0520.0520.0520.0520.0520.0520.0520.0520.050.050
Retained Earnings -337.161-334.87-307.545-309.251-271.628-200.558-221.669-196.652-194.085-189.097-196.029-170.042-85.917-40.294-39.325-13.65294.17122.50858.19287.197135.391169.341134.107132.841166.751170.544143.613136.757161.296171.5199.968193.453177.904192.999174.985173.367178.779174.834160.62155.285161.872164.424164.102154.828160.431149.139129.949129.82523.54824.3238.069-12.67112.272-25.886
Accumulated Other Comprehensive Income/Loss 248.48245.488249.613248.03248.722249.005246.083253.032251.023251.279249.689249.98249.834239.469238.424238.594237.818235.501233.593216.465213.509222.783207.674213.486218.182213.337219.965221.472236.348224.821224.766217.759211.033205.793211.411216.041230.706239.81243.914253.759242.464255.215264.539274.948270.186269.513265.372249.261249.428249.031249.821249.6960.099-0.466
Other Total Stockholders Equity 286.04286.04206.056206.056206.05647.51747.51747.51747.51747.51747.51747.51747.51747.51747.51747.51747.51747.51747.51747.51765.10268.82268.82268.82268.82268.82268.82268.82268.82268.82268.82268.82268.82268.82268.82268.82268.82268.82268.82268.82268.82268.82268.82268.82268.82268.82268.82268.82268.82268.82268.6660.025249.105249.105
Total Shareholders Equity 197.415196.714148.179144.89183.20596.01771.984103.95104.508109.752101.23127.508211.487246.745246.669272.512379.558405.579339.355351.232414.055460.999410.656415.202453.808452.756432.453427.104466.519465.196493.609480.087457.811467.666455.27458.282478.359483.518473.408477.918473.21488.513497.515498.65499.491487.526464.195447.96341.85342.228326.608237.1261.526222.753
Total Equity 197.415196.714148.179144.89183.20596.01771.984103.95104.508109.752101.23127.508211.487246.745246.669272.512379.558405.579339.355351.232414.055460.999410.656415.202453.808452.756432.453427.104466.519465.196493.609480.087457.811467.666455.27458.282478.359483.518473.408477.918473.21488.513497.515498.65499.491487.526464.195447.96341.85340.394324.687235.097259.43220.423
Total Liabilities & Shareholders Equity 1,593.0131,600.4481,642.9631,344.7871,379.1781,472.0121,520.3941,317.9441,374.1411,426.9611,421.0321,293.6651,311.9161,365.8581,381.4191,260.311,325.5111,381.61,321.551,383.4661,356.4131,358.6521,415.2361,496.5251,429.5771,389.7431,449.7861,545.7441,358.2741,390.3121,514.7921,533.6521,371.8141,435.8051,454.3021,451.9031,264.5181,277.021,344.9741,301.5881,195.2991,210.6371,278.0341,215.7111,093.2291,100.3621,124.8791,118.311947.365963.39975.017947.148865.5641,017.188