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Endava plc (DAVA) 10-Year Financial Performance & Capital Metrics

DAVA • • Industrial / General
TechnologyInfrastructure SoftwareAI & Analytics PlatformsDigital Services & Consulting
AboutEndava plc provides technology services for clients in the consumer products, healthcare, mobility, and retail verticals in Europe, Latin America, North America, and internationally. The company offers technology and digital advisory services for payments and financial services, and TMT sectors; IT strategies; business analysis services; program management services; digital product strategy services; and architecture, extended reality, machine learning and artificial intelligence, product design, and user experience and visual design services. It also engages in the identifying, defining, and embedding collaborative data and analytics; and provision of automated testing, cloud native software engineering, continuous delivery, distributed agile delivery, intelligent automation, secure development, agile applications management, cloud infrastructure, DevSecOps, service delivery, smart desk, and telemetry and monitoring services. The company was founded in 2000 and is headquartered in London, the United Kingdom.Show more
  • Revenue $772M +4.3%
  • EBITDA $62M +36.3%
  • Net Income $21M +23.9%
  • EPS (Diluted) 0.36 +24.1%
  • Gross Margin 25.65% +0.6%
  • EBITDA Margin 8.02% +30.7%
  • Operating Margin 4.08% +50.1%
  • Net Margin 2.75% +18.8%
  • ROE 3.47% +22.7%
  • ROIC 3.09% +28.2%
  • Debt/Equity 0.39 +23.4%
  • Interest Coverage 2.95 -8.4%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Strong Piotroski F-Score: 7/9
  • ✓High quality earnings: Operating CF exceeds net income
  • ✓Strong 5Y sales CAGR of 17.1%
  • ✓Trading at only 0.7x book value

✗Weaknesses

  • ✗Weak momentum: RS Rating 10 (bottom 10%)
  • ✗Trading more than 30% below 52-week high

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

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Growth Metrics

Revenue CAGR

10Y24.82%
5Y17.09%
3Y5.66%
TTM1.07%

Profit (Net Income) CAGR

10Y4.59%
5Y1.19%
3Y-36.56%
TTM54.33%

EPS CAGR

10Y2.19%
5Y0%
3Y-36.86%
TTM36.26%

ROCE

10Y Avg26.06%
5Y Avg13.53%
3Y Avg8.73%
Latest3.76%

Peer Comparison

Digital Services & Consulting
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Size & Scale
Valuation
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Growth
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TTM Growth
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Technical
Volume & Trading
Shares & Dilution
Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
SNPSSynopsys, Inc.97.23B508.1963.2115.12%31.07%7.23%1.39%0.50
VRNTVerint Systems Inc.1.24B20.5119.72-0.13%6.87%4.6%11.43%0.34
DAVAEndava plc271.06M6.8819.114.25%1.43%1.9%17.73%0.39
CINTCI&T Inc86.65M4.734.01-80.35%7.34%4.65%67.41%0.53
RZLVREZOLVE AI PLC1.55B4.63-0.1929.46%-21.55%
UBXGU-BX Technology Ltd.44.8M1.98-4.21-45.29%-0.35%-1.89%0.05
VRARThe Glimpse Group, Inc.23.18M1.10-8.4619.58%-108904.7%-6.4%0.01
SUPXSuper X AI Technology Ltd437.62M13.89-180.39-52.72%-132.94%-99.32%0.05

Profit & Loss

Jun 2016Jun 2017Jun 2018Jun 2019Jun 2020Jun 2021Jun 2022Jun 2023Jun 2024Jun 2025
Sales/Revenue+115.43M159.37M217.61M287.93M350.95M446.3M654.76M794.73M740.76M772.25M
Revenue Growth %0.37%0.38%0.37%0.32%0.22%0.27%0.47%0.21%-0.07%0.04%
Cost of Goods Sold+75.05M108.76M145.44M189.1M250.56M292.12M436.83M530.66M551.95M574.15M
COGS % of Revenue0.65%0.68%0.67%0.66%0.71%0.65%0.67%0.67%0.75%0.74%
Gross Profit+40.39M50.61M72.17M98.83M100.39M154.18M217.93M264.08M188.81M198.1M
Gross Margin %0.35%0.32%0.33%0.34%0.29%0.35%0.33%0.33%0.25%0.26%
Gross Profit Growth %0.27%0.25%0.43%0.37%0.02%0.54%0.41%0.21%-0.29%0.05%
Operating Expenses+20.45M27.55M46.74M65.86M80.41M90.63M122.55M150.3M168.67M166.59M
OpEx % of Revenue0.18%0.17%0.21%0.23%0.23%0.2%0.19%0.19%0.23%0.22%
Selling, General & Admin20.45M27.55M46.74M65.86M77.24M0121.81M135.3M00
SG&A % of Revenue0.18%0.17%0.21%0.23%0.22%-0.19%0.17%--
Research & Development0000000000
R&D % of Revenue----------
Other Operating Expenses00003.17M90.63M739K15M168.67M166.59M
Operating Income+19.93M23.06M25.43M33.11M19.98M63.55M95.38M112.84M20.14M31.51M
Operating Margin %0.17%0.14%0.12%0.11%0.06%0.14%0.15%0.14%0.03%0.04%
Operating Income Growth %0.23%0.16%0.1%0.3%-0.4%2.18%0.5%0.18%-0.82%0.56%
EBITDA+22.82M27.4M31.7M41.01M38.23M75.85M113.18M133.84M45.43M61.92M
EBITDA Margin %0.2%0.17%0.15%0.14%0.11%0.17%0.17%0.17%0.06%0.08%
EBITDA Growth %0.3%0.2%0.16%0.29%-0.07%0.98%0.49%0.18%-0.66%0.36%
D&A (Non-Cash Add-back)2.88M4.35M6.27M7.9M18.25M12.3M17.8M21M25.29M30.42M
EBIT21M23.61M25.22M30.45M25.25M66.89M95.76M121.38M34.28M37.05M
Net Interest Income+898K-390K-537K141K-1.34M-2.35M-2.81M217K-76K-9.44M
Interest Income1.07M18K35K486K555K104K249.87K3.9M6.19M1.26M
Interest Expense170K408K572K345K1.89M2.46M3.06M3.68M6.27M10.7M
Other Income/Expense898K-1.36M-783K-2.87M3.38M-9.18M7M1.32M6.84M-7.39M
Pretax Income+20.83M21.7M24.65M30.1M23.36M54.37M102.38M114.16M26.98M24.11M
Pretax Margin %0.18%0.14%0.11%0.1%0.07%0.12%0.16%0.14%0.04%0.03%
Income Tax+4.13M4.87M5.67M6.09M3.37M10.92M19.29M20M9.86M2.9M
Effective Tax Rate %0.8%0.78%0.77%0.8%0.86%0.8%0.81%0.82%0.63%0.88%
Net Income+16.71M16.83M18.98M24.01M19.99M43.45M83.09M94.16M17.12M21.21M
Net Margin %0.14%0.11%0.09%0.08%0.06%0.1%0.13%0.12%0.02%0.03%
Net Income Growth %0.23%0.01%0.13%0.27%-0.17%1.17%0.91%0.13%-0.82%0.24%
Net Income (Continuing)16.71M16.83M18.98M24.01M19.99M43.45M83.09M94.16M17.12M21.21M
Discontinued Operations0000000000
Minority Interest0000000000
EPS (Diluted)+0.320.320.380.440.360.761.431.620.290.36
EPS Growth %0.1%0%0.19%0.16%-0.18%1.11%0.88%0.13%-0.82%0.24%
EPS (Basic)0.320.320.380.440.370.791.481.640.290.36
Diluted Shares Outstanding53M53M49.8M55.03M56.07M57.05M58.02M58.08M58.8M58.88M
Basic Shares Outstanding53M53M49.8M54.56M53.42M55.22M56.27M57.31M58.44M58.46M
Dividend Payout Ratio1.09%---------

Balance Sheet

Jun 2016Jun 2017Jun 2018Jun 2019Jun 2020Jun 2021Jun 2022Jun 2023Jun 2024Jun 2025
Total Current Assets+44.48M65.79M68.09M136.88M187.45M189.69M328.18M346.67M267.62M281.85M
Cash & Short-Term Investments12.95M23.57M15.05M70.17M101.91M70.45M163.2M164.76M62.54M59.47M
Cash Only12.95M23.57M15.05M70.17M101.33M69.88M162.81M164.7M62.36M59.34M
Short-Term Investments0000584K563K392K56K183K121K
Accounts Receivable22.38M30.24M26M60.97M61.06M113.09M156.12M172.34M193.58M211.18M
Days Sales Outstanding70.7569.2543.6277.2963.592.4987.0379.1595.3899.81
Inventory134K62K16K0-6.78M00000
Days Inventory Outstanding0.650.210.04-------
Other Current Assets6.73M9.82M22.77M024.48M00-1.48M00
Total Non-Current Assets+28.42M40.59M82.92M85.8M173.5M283.52M293.68M423.46M746.27M653.92M
Property, Plant & Equipment4.74M7.49M8.58M10.58M63.88M70.52M72.08M91.02M73.93M55.69M
Fixed Asset Turnover24.38x21.29x25.35x27.22x5.49x6.33x9.08x8.73x10.02x13.87x
Goodwill11.32M16.2M41.06M36.76M56.88M124.42M145.92M240.82M515.72M473.3M
Intangible Assets11.23M16.03M30.79M28.91M38.75M69.55M56.19M66.22M127.8M100.89M
Long-Term Investments27K14K-2.49M76.25M639K363K2.28M5.24M10.5M5.01M
Other Non-Current Assets002.49M-76.25M000000
Total Assets+72.9M106.38M151.01M222.68M360.94M473.21M621.86M770.12M1.01B935.77M
Asset Turnover1.58x1.50x1.44x1.29x0.97x0.94x1.05x1.03x0.73x0.83x
Asset Growth %0.28%0.46%0.42%0.47%0.62%0.31%0.31%0.24%0.32%-0.08%
Total Current Liabilities+41.3M54.76M71.14M54.2M76.39M102.81M128.41M120.59M153.86M121.72M
Accounts Payable1.52M3.72M4.5M4.22M58.6M7M8.21M5.48M10.98M22.66M
Days Payables Outstanding7.4112.4911.38.1585.368.746.863.777.2614.4
Short-Term Debt15.31M29.31M19.7M0000000
Deferred Revenue (Current)1000K1000K1000K1000K1000K1000K1000K01000K1000K
Other Current Liabilities8.52M3.87M10.84M5.75M2M10.04M19.32M-663K20.51M8.5M
Current Ratio1.08x1.20x0.96x2.53x2.45x1.84x2.56x2.87x1.74x2.32x
Quick Ratio1.07x1.20x0.96x2.53x2.54x1.84x2.56x2.87x1.74x2.32x
Cash Conversion Cycle63.9956.9732.35-------
Total Non-Current Liabilities+1.81M2.9M10.38M2.15M48.23M69.73M60.72M78.23M220.58M231.11M
Long-Term Debt26K0000000144.75M180.94M
Capital Lease Obligations12K63K20K042.23M50.14M44M54.44M43.56M33.45M
Deferred Tax Liabilities002.83M2.03M5.86M010.83M030.81M15.18M
Other Non-Current Liabilities1.77M2.81M7.53M113K136K10.21M5.89M18.95M509K1.54M
Total Liabilities43.1M57.66M81.52M56.35M124.62M172.54M189.13M198.81M374.44M352.83M
Total Debt+15.44M29.46M19.76M21K53.37M63.69M55.9M69.01M202.76M228.05M
Net Debt2.5M5.89M4.72M-70.15M-47.96M-6.2M-106.91M-95.69M140.4M168.71M
Debt / Equity0.52x0.60x0.28x0.00x0.23x0.21x0.13x0.12x0.32x0.39x
Debt / EBITDA0.68x1.08x0.62x0.00x1.40x0.84x0.49x0.52x4.46x3.68x
Net Debt / EBITDA0.11x0.22x0.15x-1.71x-1.25x-0.08x-0.94x-0.71x3.09x2.72x
Interest Coverage117.25x56.51x44.46x95.97x10.57x25.87x31.20x30.68x3.21x2.95x
Total Equity+29.79M48.72M69.5M166.33M236.33M300.67M432.72M571.31M639.46M582.94M
Equity Growth %0.15%0.64%0.43%1.39%0.42%0.27%0.44%0.32%0.12%-0.09%
Book Value per Share0.560.921.403.024.225.277.469.8410.889.90
Total Shareholders' Equity29.79M48.72M69.5M166.33M236.33M300.67M432.72M571.31M639.46M582.94M
Common Stock996K996K996K1.09M1.1M1.11M1.14M1.16M1.18M1.12M
Retained Earnings20.43M38.07M59.26M146.96M214.64M283.06M398.1M522.93M573.64M575.43M
Treasury Stock-1.03M-2.27M-2.27M-1.85M-1.34M-155K-155K-27K-26K-17.96M
Accumulated OCI6.73M9.25M8.84M20M21.71M16.4M24.49M32.63M43.38M3.07M
Minority Interest0000000000

Cash Flow

Jun 2016Jun 2017Jun 2018Jun 2019Jun 2020Jun 2021Jun 2022Jun 2023Jun 2024Jun 2025
Cash from Operations+10.9M14.74M33.98M35.35M40.24M87.67M120.72M124.52M54.39M52.77M
Operating CF Margin %0.09%0.09%0.16%0.12%0.11%0.2%0.18%0.16%0.07%0.07%
Operating CF Growth %-0.02%0.35%1.31%0.04%0.14%1.18%0.38%0.03%-0.56%-0.03%
Net Income16.71M16.83M18.98M24.01M21.41M43.45M83.09M94.16M17.12M21.21M
Depreciation & Amortization2.88M4.35M6.27M7.9M18.73M24.45M28.97M32.93M38.94M44.94M
Stock-Based Compensation768K854K1.5M12.02M15.66M24.43M35.01M31.06M34.68M32.05M
Deferred Taxes3.01M3.55M5.67M6.09M3.85M8.28M17.07M20M2.07M2.44M
Other Non-Cash Items-5.7M-3.24M7.94M-3.16M-11.64M8.43M-21.65M-37.56M-21.84M-7.68M
Working Capital Changes-6.76M-7.6M-6.38M-11.52M-7.76M-21.36M-21.77M-16.07M-16.58M-40.19M
Change in Receivables-6.76M-7.6M-6.38M-16.34M-14.12M-19.5M-37.01M-3.94M5.53M-18.6M
Change in Inventory0000000000
Change in Payables0000000000
Cash from Investing+-7.26M-19.5M-31.79M-10.05M-29.75M-106.41M-23.88M-110.85M-290.32M-9.94M
Capital Expenditures-2.75M-6.37M-5.48M-7.38M-9.88M-5.43M-13.97M-13.67M-5.49M-4.7M
CapEx % of Revenue0.02%0.04%0.03%0.03%0.03%0.01%0.02%0.02%0.01%0.01%
Acquisitions----------
Investments----------
Other Investing36K680K2.46M533K3.98M277K456K-17.49M-48.73M1.59M
Cash from Financing+-4.62M14.84M-10.73M26.36M20.88M-11.92M-5.08M-11M135.06M-45.13M
Debt Issued (Net)----------
Equity Issued (Net)----------
Dividends Paid-18.18M000000000
Share Repurchases----------
Other Financing1.83M2.53M-426K1.57M152K-657K7.04M375K1.84M-10.22M
Net Change in Cash----------
Free Cash Flow+8.15M8.37M28.5M27.96M30.36M82.24M106.75M110.84M48.91M48.07M
FCF Margin %0.07%0.05%0.13%0.1%0.09%0.18%0.16%0.14%0.07%0.06%
FCF Growth %-0.09%0.03%2.41%-0.02%0.09%1.71%0.3%0.04%-0.56%-0.02%
FCF per Share0.150.160.570.510.541.441.841.910.830.82
FCF Conversion (FCF/Net Income)0.65x0.88x1.79x1.47x2.01x2.02x1.45x1.32x3.18x2.49x
Interest Paid0000000000
Taxes Paid0000000000

Key Ratios

Metric2016201720182019202020212022202320242025
Return on Equity (ROE)59.9%42.88%32.1%20.36%9.93%16.18%22.66%18.76%2.83%3.47%
Return on Invested Capital (ROIC)61.58%39.8%29.61%29.15%10.53%19.74%23.07%21.12%2.41%3.09%
Gross Margin34.99%31.76%33.16%34.32%28.61%34.55%33.28%33.23%25.49%25.65%
Net Margin14.47%10.56%8.72%8.34%5.7%9.74%12.69%11.85%2.31%2.75%
Debt / Equity0.52x0.60x0.28x0.00x0.23x0.21x0.13x0.12x0.32x0.39x
Interest Coverage117.25x56.51x44.46x95.97x10.57x25.87x31.20x30.68x3.21x2.95x
FCF Conversion0.65x0.88x1.79x1.47x2.01x2.02x1.45x1.32x3.18x2.49x
Revenue Growth37.24%38.06%36.55%32.31%21.89%27.17%46.71%21.38%-6.79%4.25%

Revenue by Segment

20182019202020212022202320242025
Technology, Media and Telecom-------146.94M
Technology, Media and Telecom Growth--------
Payments-------144.74M
Payments Growth--------
Other Industries-56.86M75.52M98.86M159.38M204.8M219.57M101.78M
Other Industries Growth--32.81%30.91%61.22%28.50%7.21%-53.65%
Healthcare-------91.48M
Healthcare Growth--------
Insurance-------70.05M
Insurance Growth--------
Mobility-------65.1M
Mobility Growth--------
Payments and Financial Services------351.96M-
Payments and Financial Services Growth--------
TMT-78.89M90.25M121.05M163.53M173.93M169.23M-
TMT Growth--14.41%34.11%35.10%6.36%-2.70%-
Payments And Financial Services-152.18M185.18M226.39M331.84M416.01M--
Payments And Financial Services Growth--21.68%22.26%46.58%25.36%--

Revenue by Geography

20182019202020212022202320242025
North America145.6M79.23M100.09M140.09M228.11M258.11M241.65M294.65M
North America1 Growth-73.75%26.33%39.96%62.84%13.15%-6.38%21.93%
Europe173.44M79.19M85.88M107.98M138M182.55M191.21M180.76M
Europe1 Growth-7.82%8.46%25.73%27.81%32.28%4.74%-5.46%
Rest Of World--9.47M--44.7M60.3M42.38M
Rest Of World Growth------34.88%-29.72%

Frequently Asked Questions

Valuation & Price

Endava plc (DAVA) has a price-to-earnings (P/E) ratio of 19.1x. This is roughly in line with market averages.

Growth & Financials

Endava plc (DAVA) reported $755.4M in revenue for fiscal year 2025. This represents a 1673% increase from $42.6M in 2013.

Endava plc (DAVA) grew revenue by 4.3% over the past year. Growth has been modest.

Yes, Endava plc (DAVA) is profitable, generating $10.8M in net income for fiscal year 2025 (2.7% net margin).

Dividend & Returns

Endava plc (DAVA) has a return on equity (ROE) of 3.5%. This is below average, suggesting room for improvement.

Endava plc (DAVA) generated $54.0M in free cash flow for fiscal year 2025. Positive FCF indicates the company can fund dividends, buybacks, or reinvestment.

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