C&C Group/£CCR
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About C&C Group
C&C Group PLC, trading under the ticker CCR, operates within the beverages and drinks sector. Established in 1935, the company is headquartered in Dublin, Ireland. C&C Group is notably recognized for its production and sale of cider, beer, wine, soft drinks, and bottled water throughout Europe.
Ticker
£CCR
Sector
Primary listing
LSE
Industry
Beverages
Headquarters
Dublin, Ireland
Employees
2,746
Website
C&C Group Metrics
BasicAdvanced
£676M
59.95
£0.03
1.08
£0.09
4.71%
Price and volume
Market cap
£676M
Beta
1.08
52-week high
£1.83
52-week low
£1.15
Average daily volume
767K
Dividend rate
£0.09
Financial strength
Current ratio
1.119
Quick ratio
0.722
Long term debt to equity
60.157
Total debt to equity
63.67
Dividend payout ratio (TTM)
168.38%
Interest coverage (TTM)
3.13%
Profitability
EBITDA (TTM)
97.467
Gross margin (TTM)
23.06%
Net profit margin (TTM)
0.82%
Operating margin (TTM)
4.50%
Effective tax rate (TTM)
30.61%
Revenue per employee (TTM)
£530,840
Management effectiveness
Return on assets (TTM)
3.55%
Return on equity (TTM)
2.37%
Valuation
Price to earnings (TTM)
59.951
Price to revenue (TTM)
0.483
Price to book
1.22
Price to tangible book (TTM)
24.96
Price to free cash flow (TTM)
18.959
Free cash flow yield (TTM)
5.27%
Free cash flow per share (TTM)
9.63%
Dividend yield (TTM)
4.71%
Growth
Revenue change (TTM)
0.79%
Earnings per share change (TTM)
-112.06%
3-year revenue growth (CAGR)
5.02%
10-year revenue growth (CAGR)
9.31%
3-year earnings per share growth (CAGR)
-29.29%
10-year earnings per share growth (CAGR)
-17.68%
10-year dividend per share growth (CAGR)
-6.10%
What the Analysts think about C&C Group
Analyst ratings (Buy, Hold, Sell) for C&C Group stock.
Bulls say / Bears say
C&C Group reported a 29% increase in operating profit before exceptional items, reaching €40.3 million, attributed to ongoing efficiency initiatives and an improved operating margin of 4.7%. (Investing.com)
The company initiated a €15 million share buyback program, purchasing 47,417 shares for cancellation, demonstrating a commitment to enhancing shareholder value. (TipRanks)
C&C's core brands, Tennent's and Bulmers, have gained market share in the on-trade sector, reinforcing their market-leading positions. (Investing.com)
C&C Group's stock price dropped 18.7% during mid-day trading on March 16, 2025, with the stock trading as low as GBX 116.20. (Defense World)
The company reported a marginal net revenue decline of 3%, primarily due to the sale of its non-core soft drinks business in Ireland and reduced volumes in contract brewing and cider sales in Great Britain. (Investing.com)
C&C Group's net income decreased by 29.51% year-over-year, with a net profit margin decline of 29.25%, indicating potential profitability challenges. (Google Finance)
Data summarised monthly by Lightyear AI. Last updated on 7 Jul 2025.
C&C Group Financial Performance
Revenues and expenses
C&C Group Earnings Performance
Company profitability
Data displayed above is indicative only and its accuracy or completeness is not guaranteed. Actual execution price may vary. Past performance is not indicative of future results. Your return may be affected by currency fluctuations and applicable fees and charges. Capital at risk.
Market data provided by CBOE Europe and Deutsche Börse.
Capital at risk
Upcoming events
No upcoming events
FAQs
What’s the current market cap for C&C Group stock?
C&C Group (CCR) has a market cap of £676M as of July 25, 2025.
What is the P/E ratio for C&C Group stock?
The price to earnings (P/E) ratio for C&C Group (CCR) stock is 59.95 as of July 25, 2025.
Does C&C Group stock pay dividends?
Yes, the C&C Group (CCR) stock pays dividends to shareholders. As of July 25, 2025, the dividend rate is £0.08604 and the yield is 4.71%. C&C Group has a payout ratio of 168.38% on a trailing twelve-month basis.
When is the next C&C Group dividend payment date?
The next C&C Group (CCR) dividend payment date is unconfirmed.
What is the beta indicator for C&C Group?
C&C Group (CCR) has a beta rating of 1.08. This means that it is more volatile than the market, on average. A beta of 1 would indicate the stock moves in-line with the market, while a beta of 2 would indicate the stock moves twice as much as the market.