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Watkin Jones PLC (GB:WJG)
LSE:WJG

Watkin Jones (WJG) AI Stock Analysis

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GB

Watkin Jones

(LSE:WJG)

58Neutral
Watkin Jones' overall stock score reflects a mixed financial performance with declining revenues and low profitability. However, improved cash flow and stability in its capital structure are positives. Technical indicators suggest potential overbought conditions, while a high P/E ratio points to overvaluation. Positive corporate events indicate strategic focus, offering some optimism for future growth.

Watkin Jones (WJG) vs. S&P 500 (SPY)

Watkin Jones Business Overview & Revenue Model

Company DescriptionWatkin Jones (WJG) is a leading UK-based developer and manager specializing in the construction and management of residential rental properties. The company operates across several sectors, including purpose-built student accommodation (PBSA), build-to-rent (BTR) residential properties, and affordable housing. With a strong focus on sustainable development and urban regeneration, Watkin Jones leverages its expertise to deliver high-quality, modern living spaces that cater to the evolving needs of communities.
How the Company Makes MoneyWatkin Jones makes money primarily through the development and sale of residential properties, particularly in the PBSA and BTR sectors. The company generates revenue by constructing and managing student accommodations and rental properties, which are then sold to institutional investors or retained for long-term income generation. Additionally, Watkin Jones engages in forward-funding agreements, where an investor funds the development in exchange for ownership upon completion, providing a steady cash flow during the construction phase. The company's income is also supplemented by property management services, ensuring a diversified revenue stream. Significant partnerships with universities, local authorities, and investment firms enhance its market position and contribute to its financial success.

Watkin Jones Financial Statement Overview

Summary
Watkin Jones exhibits mixed financial results with declining revenue and margins, but maintains a stable capital structure and improved cash flow generation. The company faces challenges in profitability and efficiency, reflected in the low gross and net profit margins. However, the improved cash flow is a positive aspect.
Income Statement
45
Neutral
The gross profit margin for the latest year is 9.33%, reflecting a decrease compared to previous periods. The net profit margin is 0.52%, indicating tight profitability. Revenue has declined by 12.31% compared to the previous year, showing a negative growth trend. EBIT and EBITDA margins are 0.98% and 2.99% respectively, both highlighting low operational efficiency. The company faces challenges in maintaining revenue and profitability levels.
Balance Sheet
55
Neutral
The debt-to-equity ratio is 0.41, suggesting a moderate level of leverage. Return on equity (ROE) is low at 1.43%, indicating limited returns for shareholders. The equity ratio stands at 39.95%, pointing to a stable capital structure. The balance sheet demonstrates moderate leverage but challenges in generating shareholder returns.
Cash Flow
62
Positive
Free cash flow has improved significantly with a positive change from a previous negative position. The operating cash flow to net income ratio is 15.95, suggesting strong cash generation relative to net income. The company exhibits strong cash flow generation, though historical variability poses a risk.
Breakdown
TTMSep 2024Sep 2023Sep 2022Sep 2021Sep 2020
Income StatementTotal Revenue
434.48M362.37M413.24M407.08M430.21M354.12M
Gross Profit
36.94M33.81M34.86M67.07M84.78M75.92M
EBIT
2.39M3.57M-37.97M33.76M57.35M51.64M
EBITDA
-27.72M10.83M-32.27M32.80M66.03M40.90M
Net Income Common Stockholders
-30.37M1.90M-32.55M13.41M41.93M21.09M
Balance SheetCash, Cash Equivalents and Short-Term Investments
57.91M96.91M72.56M110.84M136.29M134.51M
Total Assets
283.78M331.89M371.52M386.96M430.62M459.95M
Total Debt
39.61M54.36M73.72M77.39M141.21M174.12M
Net Debt
-18.29M-42.55M1.29M-33.45M4.92M39.61M
Total Liabilities
122.63M199.30M241.51M210.01M245.81M292.11M
Stockholders Equity
161.15M132.59M130.00M176.95M184.81M167.84M
Cash FlowFree Cash Flow
-6.34M30.10M-32.05M-27.52M61.25M37.97M
Operating Cash Flow
-5.94M30.22M-31.50M-26.86M61.46M38.29M
Investing Cash Flow
15.23M16.74M14.98M11.58M-147.00K564.00K
Financing Cash Flow
-25.54M-22.43M-21.89M-10.17M-59.53M-19.99M

Watkin Jones Technical Analysis

Technical Analysis Sentiment
Positive
Last Price36.50
Price Trends
50DMA
31.60
Positive
100DMA
29.19
Positive
200DMA
28.93
Positive
Market Momentum
MACD
1.84
Negative
RSI
60.39
Neutral
STOCH
55.63
Neutral
Evaluating momentum and price trends is crucial in stock analysis to make informed investment decisions. For GB:WJG, the sentiment is Positive. The current price of 36.5 is above the 20-day moving average (MA) of 34.20, above the 50-day MA of 31.60, and above the 200-day MA of 28.93, indicating a bullish trend. The MACD of 1.84 indicates Negative momentum. The RSI at 60.39 is Neutral, neither overbought nor oversold. The STOCH value of 55.63 is Neutral, not indicating any strong overbought or oversold conditions. Overall, these indicators collectively point to a Positive sentiment for GB:WJG.

Watkin Jones Peers Comparison

Overall Rating
UnderperformOutperform
Sector (61)
Financial Indicators
Name
Overall Rating
Market Cap
P/E Ratio
ROE
Dividend Yield
Revenue Growth
EPS Growth
GBSPR
73
Outperform
£113.68M12.525.82%1.05%-14.19%9.78%
GBGLE
69
Neutral
£300.05M18.145.65%2.14%13.91%-2.75%
GBVTY
65
Neutral
£2.00B28.782.27%6.04%-66.96%
GBBWY
64
Neutral
£3.23B21.834.22%2.00%-11.63%-31.81%
61
Neutral
$6.99B11.272.81%3.90%2.61%-21.77%
GBWJG
58
Neutral
£94.96M49.461.44%-12.31%
54
Neutral
£481.89M-13.06%1.17%-5.98%-677.54%
* Consumer Cyclical Sector Average
Performance Comparison
Ticker
Company Name
Price
Change
% Change
GB:WJG
Watkin Jones
36.50
-17.10
-31.90%
GB:GLE
MJ Gleeson PLC
514.00
-22.11
-4.12%
GB:BWY
Bellway
2,718.00
-3.99
-0.15%
GB:VTY
Vistry Group
615.60
-691.40
-52.90%
GB:CRST
Crest Nicholson Holdings
187.70
-38.33
-16.96%
GB:SPR
Springfield Properties PLC
95.50
0.47
0.49%

Watkin Jones Corporate Events

Business Operations and StrategyFinancial Disclosures
Watkin Jones Reports Positive H1-2025 Amid Market Challenges
Positive
Apr 29, 2025

Watkin Jones plc reported a small positive operating profit for the first half of 2025, despite challenging market conditions, due to strong operational focus and effective cash management. The company signed two new development partnerships and maintained a robust cash position, with expectations for a stronger second half driven by a solid project pipeline.

Spark’s Take on GB:WJG Stock

According to Spark, TipRanks’ AI Analyst, GB:WJG is a Neutral.

Watkin Jones shows mixed financial performance with declining revenue and low profitability, but improved cash flow and a stable capital structure. Technical indicators suggest caution with possible overbought conditions. The high P/E ratio indicates overvaluation. However, positive corporate events reflect strategic focus and leadership confidence, potentially supporting future performance.

To see Spark’s full report on GB:WJG stock, click here.

Executive/Board Changes
Watkin Jones Grants Share Awards to Key Executives
Neutral
Apr 4, 2025

Watkin Jones plc announced the grant of nominal-cost share awards to its CEO, Alex Pease, and CFO, Simon Jones, under the company’s Long Term Incentive Plan 2018. These awards, which are subject to certain conditions and a three-year vesting period, reflect the company’s commitment to aligning leadership incentives with long-term performance goals.

Business Operations and Strategy
FIL Limited Increases Stake in Watkin Jones plc
Neutral
Mar 25, 2025

Watkin Jones plc has announced a change in its major holdings, with FIL Limited increasing its stake in the company. The acquisition of additional financial instruments has raised FIL Limited’s total voting rights in Watkin Jones to 12.0223%. This change in holdings could impact the company’s strategic decisions and influence its market positioning, potentially affecting stakeholders and future operations.

Business Operations and StrategyRegulatory Filings and Compliance
FIL Limited Increases Stake in Watkin Jones plc
Neutral
Mar 4, 2025

Watkin Jones plc, a UK-based company, has announced a change in its major holdings. FIL Limited, registered in Bermuda, has increased its voting rights in Watkin Jones to 11.013% from a previous 10.097%. This change, effective from February 28, 2025, reflects an acquisition or disposal of financial instruments by FIL Limited. The increase in voting rights could impact Watkin Jones’ strategic decisions and influence within the market, potentially affecting stakeholders and the company’s industry positioning.

Shareholder MeetingsBusiness Operations and Strategy
Watkin Jones plc Successfully Passes All AGM Resolutions
Positive
Mar 4, 2025

Watkin Jones plc announced that all resolutions were passed at its recent Annual General Meeting. This outcome reflects the company’s stable governance and continued focus on its strategic goals in the residential rental market, reinforcing its position as a key player in the UK property development industry.

Glossary
OutperformA stock rated as "Outperform" is expected to perform better than the overall market or a specific benchmark over the near-to-medium term. This rating suggests that the stock is likely to deliver higher returns compared to the average returns of other stocks in the same sector or market index. Investors might consider this stock a good buying opportunity.
NeutralA stock rated as "Neutral" is expected to perform in line with the overall market or a specific benchmark. This rating indicates that the stock is neither particularly attractive nor unattractive for investment. Investors may consider holding onto the stock, as it is not expected to either significantly outperform or underperform the market.
UnderperformA stock rated as "Underperform" is expected to perform worse than the overall market or a specific benchmark over the near-to-medium term. This rating suggests that the stock may deliver lower returns compared to the average returns of other stocks in the same sector or market index. Investors might consider selling the stock or avoiding it as an investment.

Disclaimer

This AI Analyst Stock Report is automatically generated by our AI systems using advanced algorithms and publicly available financial, technical, and market data. While the information provided aims to be accurate and insightful, it is intended for informational purposes only and should not be considered financial advice. Any content created by an AI (Artificial Intelligence) system may contain inaccuracies and/or contain errors. Investing in stocks carries inherent risks, and past performance is not indicative of future results. This report does not account for your personal financial circumstances, objectives, or risk tolerance. Always conduct your own research or consult with a qualified financial advisor before making investment decisions. The analysis and recommendations provided are based on historical and current data and may not fully reflect future market conditions or unexpected developments. Neither the creators of this report nor its affiliated entities guarantee the accuracy, completeness, or reliability of the information presented. Use this report at your own discretion and risk.