Safestore Holdings plc
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Safestore Holdings plc Financial Snapshot
Operating Performance
Fast Facts
Britannic House, Borehamwood, WD6 The company reported revenue of US$146.25 million
Headquarters Address
2BT,United Kingdom during the fiscal year 2011 (2011). The company's
revenue declined at a compounded rate of 0.40%
Telephone + 44 2087 321500
during 2007–2011, with an annual growth of 6.55%
over 2010. In 2011, the company recorded an
Fax + 44 2087 321510 operating margin of 31.50%, as against 63.44% in
2010.
Website www.safestore.co.uk
IHF, Berlin Stock ExchangeSAFEEUR, Revenue and Margins
Euronext ParisSAFEGBP, Euronext
ParisSAFE, London Stock Exchange
Ticker Symbol, Stock Exchange
(LON)SAFEEUR, Stockholms
FondboersSAFEGBP, Stockholms
Fondboers
Number of Employees 495
Fiscal Year End October
Revenue (in US$ million) 146.25
Revenue (in GBP million) 95.06
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Safestore Holdings plc - Company Capsule Page 1
Safestore Holdings plc
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TABLE OF CONTENTS
1 Business Analysis ................................................................................................................................... 5
1.1 Company Overview ................................................................................................................................................5
1.2 Major Products and Services .................................................................................................................................6
2 Analysis of Key Performance Indicators ............................................................................................... 7
2.1 Five Year Snapshot: Overview of Financial and Operational Performance Indicators ..........................................7
2.2 Key Financial Performance Indicators .................................................................................................................10
2.2.1 Revenue and Operating Profit .........................................................................................................................10
2.2.2 Asset, Liabilities and Capex .............................................................................................................................11
2.2.3 Net Debt vs. Gearing Ratio ..............................................................................................................................12
2.2.4 Solvency ..........................................................................................................................................................13
2.2.5 Valuation ..........................................................................................................................................................14
2.3 Key Competitors ...................................................................................................................................................15
3 Key Employees ...................................................................................................................................... 16
4