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Rentokil Initial Plc Financials

RKLIF
Source SEC Filings (10-K/10-Q) Updated Dec 31, 2025 Currency USD FYE December

This page shows Rentokil Initial Plc (rklif) financial statements, including the income statement, balance sheet, cash flow statement, and key financial ratios. View 3 years of annual fundamentals and quarterly data, with year-over-year growth rates and compound annual growth rates (CAGR). All figures are derived from SEC filings (10-K and 10-Q reports).

Rhea AI rklif FY2025

A cash-generative, low-capex service model lets earnings turn into cash faster than the income statement alone suggests.

FY2024 looked softer on profit and near-term liquidity, but cash conversion never really broke: operating cash flow stayed above $868M even as net income fell to $392M. With long-term debt essentially flat into FY2025 and cash climbing to $2.3B, the rebound looks driven by a working-capital reset and low reinvestment needs rather than by extra borrowing.

The business appears low in capital intensity: FY2025 free cash flow of $764M came after only $208M of capex. That gap means more of its cash generation is available for dividends, acquisitions, or balance-sheet repair instead of being consumed by maintenance spending.

The balance sheet is acquisition-shaped, with goodwill of $6.6B exceeding equity of $5.5B. That makes cash and debt the cleaner health check: cash stood at $2.3B against long-term debt of $392M, so borrowing is not the main constraint even though current liquidity briefly tightened.

[ NOT FINANCIAL ADVICE ]

Financial Health Signals

Profitability Growth Leverage Liquidity Cash Flow Returns 40 / 100
Financial Profile 40/100

Based on FY2025 annual data, averaged across the last 3 years for performance metrics (most-recent year weighted highest). How this score is calculated →

Health score ≠ stock price. This rates the quality of Rentokil Initial Plc's business: profitability, growth, balance sheet strength. It doesn't tell you whether the stock is a good buy at today's price. Not financial advice. Use it alongside valuation analysis and your own research.

Growth
40

Rentokil Initial Plc's revenue grew a modest 4.4% year-over-year to $6.9B. This slow but positive growth earns a score of 40/100.

Leverage
100

Rentokil Initial Plc carries a low D/E ratio of 0.07, meaning only $0.07 of long-term debt for every $1 of shareholders' equity. This conservative leverage earns a score of 100/100, indicating a strong balance sheet with room for future borrowing.

Liquidity
18

Rentokil Initial Plc's current ratio of 1.16 is below the typical benchmark, resulting in a score of 18/100. However, the company holds substantial cash reserves (70% of current liabilities), which buffers actual liquidity risk. Large mature operators often run tight current ratios by design.

Cash Flow
52

Rentokil Initial Plc has a free cash flow margin of 11.1%, earning a moderate score of 52/100. The company generates positive cash flow after capital investments, but with room for improvement.

Returns
30

Rentokil Initial Plc's ROE of 8.6% shows moderate profitability relative to equity, earning a score of 30/100. This is up from 7.4% the prior year.

Earnings Quality Cash-Backed
2.07x

For every $1 of reported earnings, Rentokil Initial Plc generates $2.07 in operating cash flow ($972.0M OCF vs $470.0M net income). This indicates profits are well-supported by actual cash generation, not accounting adjustments.

Key Financial Metrics

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Earnings & Revenue

Revenue
$6.9B
YoY+4.4%

Rentokil Initial Plc generated $6.9B in revenue in fiscal year 2025. This represents an increase of 4.4% from the prior year.

EBITDA
N/A
Net Income
$470.0M
YoY+19.9%

Rentokil Initial Plc reported $470.0M in net income in fiscal year 2025. This represents an increase of 19.9% from the prior year.

EPS (Diluted)
$0.11
YoY-16.4%

Rentokil Initial Plc earned $0.11 per diluted share (EPS) in fiscal year 2025. This represents a decrease of 16.4% from the prior year.

Cash & Balance Sheet

Free Cash Flow
$764.0M
YoY+17.7%

Rentokil Initial Plc generated $764.0M in free cash flow in fiscal year 2025, representing cash available after capex. This represents an increase of 17.7% from the prior year.

Cash & Debt
$2.3B
YoY+100.3%

Rentokil Initial Plc held $2.3B in cash against $392.0M in long-term debt as of fiscal year 2025.

Dividends Per Share
N/A
Shares Outstanding
2.53B
YoY+0.1%

Rentokil Initial Plc had 2.53B shares outstanding in fiscal year 2025. This represents an increase of 0.1% from the prior year.

Margins & Returns

Gross Margin
N/A
Operating Margin
N/A
Net Margin
6.8%
YoY+0.9pp

Rentokil Initial Plc's net profit margin was 6.8% in fiscal year 2025, showing the share of revenue converted to profit. This is up 0.9 percentage points from the prior year.

Return on Equity
8.6%
YoY+1.1pp

Rentokil Initial Plc's ROE was 8.6% in fiscal year 2025, measuring profit generated per dollar of shareholder equity. This is up 1.1 percentage points from the prior year.

Capital Allocation

R&D Spending
N/A
Share Buybacks
N/A
Capital Expenditures
$208.0M
YoY-5.0%

Rentokil Initial Plc invested $208.0M in capex in fiscal year 2025, funding long-term assets and infrastructure. This represents a decrease of 5.0% from the prior year.

RKLIF Income Statement

Metric Q4'25 Q4'24 Q4'23
Revenue N/A N/A N/A
Cost of Revenue N/A N/A N/A
Gross Profit N/A N/A N/A
R&D Expenses N/A N/A N/A
SG&A Expenses N/A N/A N/A
Operating Income N/A N/A N/A
Interest Expense N/A N/A N/A
Income Tax N/A N/A N/A
Net Income N/A N/A N/A
EPS (Diluted) N/A N/A N/A

RKLIF Balance Sheet

Metric Q4'25 Q4'24 Q4'23
Total Assets N/A N/A N/A
Current Assets $3.9B+47.8% $2.6B-24.0% $3.4B
Cash & Equivalents $2.3B+100.3% $1.2B-41.8% $2.0B
Inventory $308.0M+7.3% $287.0M+8.7% $264.0M
Accounts Receivable $1.2B+1.2% $1.1B+1.4% $1.1B
Goodwill $6.6B+2.0% $6.5B-28.0% $9.0B
Total Liabilities N/A N/A N/A
Current Liabilities $3.3B+2.8% $3.2B-1.8% $3.3B
Long-Term Debt $392.0M-0.5% $394.0M-2.7% $405.0M
Total Equity $5.5B+3.8% $5.3B+1.6% $5.2B
Retained Earnings $6.4B+3.5% $6.2B+1.9% $6.1B

RKLIF Cash Flow Statement

Metric Q4'25 Q4'24 Q4'23
Operating Cash Flow N/A N/A N/A
Capital Expenditures N/A N/A N/A
Free Cash Flow N/A N/A N/A
Investing Cash Flow N/A N/A N/A
Financing Cash Flow N/A N/A N/A
Dividends Paid N/A N/A N/A
Share Buybacks N/A N/A N/A

RKLIF Financial Ratios

Metric Q4'25 Q4'24 Q4'23
Gross Margin N/A N/A N/A
Operating Margin N/A N/A N/A
Net Margin N/A N/A N/A
Return on Equity N/A N/A N/A
Return on Assets N/A N/A N/A
Current Ratio 1.16+0.4 0.81-0.2 1.05
Debt-to-Equity 0.070.0 0.070.0 0.08
FCF Margin N/A N/A N/A

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Frequently Asked Questions

Rentokil Initial Plc (rklif) reported $6.9B in total revenue for fiscal year 2025. This represents a 4.4% change compared to the previous fiscal year. Revenue measures the total income earned from the company's primary business operations before any expenses are deducted.

Rentokil Initial Plc (rklif) revenue grew by 4.4% year-over-year, from $6.6B to $6.9B in fiscal year 2025.

Yes, Rentokil Initial Plc (rklif) reported a net income of $470.0M in fiscal year 2025, with a net profit margin of 6.8%.

Rentokil Initial Plc (rklif) reported diluted earnings per share of $0.11 for fiscal year 2025. This represents a -16.4% change compared to the previous fiscal year. EPS represents the portion of a company's net income allocated to each outstanding share of common stock and is widely used to evaluate profitability on a per-share basis.

As of fiscal year 2025, Rentokil Initial Plc (rklif) had $2.3B in cash and equivalents against $392.0M in long-term debt.

Rentokil Initial Plc (rklif) had a net profit margin of 6.8% in fiscal year 2025, representing the share of revenue converted into profit after all expenses.

Rentokil Initial Plc (rklif) has a return on equity of 8.6% for fiscal year 2025, measuring how efficiently the company generates profit from shareholder equity.

Rentokil Initial Plc (rklif) generated $764.0M in free cash flow during fiscal year 2025. This represents a 17.7% change compared to the previous fiscal year. Free cash flow represents the cash a company generates after accounting for capital expenditures, and is widely used to assess financial flexibility and shareholder value.

Rentokil Initial Plc (rklif) generated $972.0M in operating cash flow during fiscal year 2025, representing cash generated from core business activities.

Rentokil Initial Plc (rklif) invested $208.0M in capital expenditures during fiscal year 2025, funding long-term assets and infrastructure.

Rentokil Initial Plc (rklif) had 2.53B shares outstanding as of fiscal year 2025.

Rentokil Initial Plc (rklif) had a current ratio of 1.16 as of fiscal year 2025, which is considered adequate.

Rentokil Initial Plc (rklif) had a debt-to-equity ratio of 0.07 as of fiscal year 2025, measuring the company's financial leverage by comparing total debt to shareholder equity.

Rentokil Initial Plc (rklif) has an earnings quality ratio of 2.07x, considered cash-backed (high quality). This ratio compares operating cash flow to net income. A ratio above 1.0x means the company generates more cash than its reported earnings, indicating sustainable, cash-backed profits. Ratios below 1.0x suggest earnings rely on accounting accruals rather than actual cash generation. Learn more in our complete guide to financial health indicators.

Rentokil Initial Plc (rklif) scores 40 out of 100 on our Financial Profile, indicating moderate overall financial health. This composite score evaluates six dimensions: profitability (operating margin), revenue growth, leverage (debt-to-equity), liquidity (current ratio), cash flow quality (free cash flow margin), and shareholder returns (return on equity). Each dimension is normalized against standard financial benchmarks. Learn more in our complete guide to financial health indicators.

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