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Colefax Group 📰 1

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Today's Catalysts (CFX) 1
CFX 12:38
Colefax Group
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Results 1
CFX 06:01
Colefax Group
Half Year Results
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**Summary of Colefax Group PLC Half-Year Results (28 January 2026)**
**Overview**
Colefax Group PLC, an international designer and distributor of furnishing fabrics, wallpapers, and a leading interior decorating business, reported strong half-year results for the six months ended 31 October 2025. The Group operates under five brands: Colefax and Fowler, Cowtan & Tout, Jane Churchill, Manuel Canovas, and Larsen.
**Key Financial Highlights**
**Group Sales**Increased by 11.7% to £58.96 million (2024: £52.79 million), or 13.6% on a constant currency basis.
**Profit Before Tax**Rose by 21.3% to £5.29 million (2024: £4.36 million).
**Earnings Per Share**Up 25.0% to 66.5p (2024: 53.2p).
**Share Buyback**Returned £6.1 million to shareholders in October 2025, purchasing and canceling 691,680 shares.
**Interim Dividend**Increased by 7% to 3.0p per share (2024: 2.8p).
**Segment Performance**
1. **Fabric Division**
Sales grew by 11.4% to £51.97 million (2024: £46.67 million), or 13.6% on a constant currency basis.
Strong performance in the US (up 12.9% excluding tariff surcharges), UK (up 10.5%), and Europe (up 2.9%).
Profit increased by 13.2% to £4.76 million, partially offset by weaker US dollar exchange rates and higher operating costs.
2. **Decorating Division**
Sales rose by 16.7% to £5.42 million (2024: £4.65 million), with a profit of £351,000 (2024: loss of £63,000).
Performance boosted by project completions weighted to the first half, but expected to breakeven for the full year due to a weak UK housing market.
3. **Furniture Division (Kingcome Sofas)**
Sales increased by 6.0% to £1.57 million (2024: £1.48 million), with an operating profit of £176,000 (2024: £216,000).
**Cash and Balance Sheet**
Cash generation of £6.2 million (excluding share buybacks and dividends), up from £3.6 million in 2024.
Ended the period with cash of £22.16 million (30 April 2025: £22.31 million).
Strong balance sheet with net assets of £32.908 million.
**Chairman’s Statement**
Chairman David Green attributed the strong performance to the Fabric Division’s US sales, driven by a robust US stock market. Despite challenges from US import tariffs and a weaker US dollar, the Group expects full-year profits to exceed market forecasts. The Decorating Division is expected to breakeven due to a subdued UK housing market.
**Future Outlook**
Continued investment in the US distribution network and Fabric Division brands to capitalize on growth opportunities.
Next year’s sales growth may be more challenging due to strong prior-year comparatives, but the Group remains optimistic about market stability.
**Conclusion**
Colefax Group PLC delivered a robust half-year performance, driven by strong Fabric Division sales, particularly in the US. Despite external challenges, the Group is well-positioned for growth, supported by a strong balance sheet and strategic investments. Full-year profits are expected to surpass market expectations.
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TR1 1
CFX 12:38
Colefax Group
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TR1 Buy
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All Market News (Last 30 Days) 2
CFX 12:38
Colefax Group
TR-1 Notification
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CFX 06:01
Colefax Group
Half Year Results
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**Summary of Colefax Group PLC Half-Year Results (28 January 2026)**
**Overview**
Colefax Group PLC, an international designer and distributor of furnishing fabrics, wallpapers, and a leading interior decorating business, reported strong half-year results for the six months ended 31 October 2025. The Group operates under five brands: Colefax and Fowler, Cowtan & Tout, Jane Churchill, Manuel Canovas, and Larsen.
**Key Financial Highlights**
**Group Sales**Increased by 11.7% to £58.96 million (2024: £52.79 million), or 13.6% on a constant currency basis.
**Profit Before Tax**Rose by 21.3% to £5.29 million (2024: £4.36 million).
**Earnings Per Share**Up 25.0% to 66.5p (2024: 53.2p).
**Share Buyback**Returned £6.1 million to shareholders in October 2025, purchasing and canceling 691,680 shares.
**Interim Dividend**Increased by 7% to 3.0p per share (2024: 2.8p).
**Segment Performance**
1. **Fabric Division**
Sales grew by 11.4% to £51.97 million (2024: £46.67 million), or 13.6% on a constant currency basis.
Strong performance in the US (up 12.9% excluding tariff surcharges), UK (up 10.5%), and Europe (up 2.9%).
Profit increased by 13.2% to £4.76 million, partially offset by weaker US dollar exchange rates and higher operating costs.
2. **Decorating Division**
Sales rose by 16.7% to £5.42 million (2024: £4.65 million), with a profit of £351,000 (2024: loss of £63,000).
Performance boosted by project completions weighted to the first half, but expected to breakeven for the full year due to a weak UK housing market.
3. **Furniture Division (Kingcome Sofas)**
Sales increased by 6.0% to £1.57 million (2024: £1.48 million), with an operating profit of £176,000 (2024: £216,000).
**Cash and Balance Sheet**
Cash generation of £6.2 million (excluding share buybacks and dividends), up from £3.6 million in 2024.
Ended the period with cash of £22.16 million (30 April 2025: £22.31 million).
Strong balance sheet with net assets of £32.908 million.
**Chairman’s Statement**
Chairman David Green attributed the strong performance to the Fabric Division’s US sales, driven by a robust US stock market. Despite challenges from US import tariffs and a weaker US dollar, the Group expects full-year profits to exceed market forecasts. The Decorating Division is expected to breakeven due to a subdued UK housing market.
**Future Outlook**
Continued investment in the US distribution network and Fabric Division brands to capitalize on growth opportunities.
Next year’s sales growth may be more challenging due to strong prior-year comparatives, but the Group remains optimistic about market stability.
**Conclusion**
Colefax Group PLC delivered a robust half-year performance, driven by strong Fabric Division sales, particularly in the US. Despite external challenges, the Group is well-positioned for growth, supported by a strong balance sheet and strategic investments. Full-year profits are expected to surpass market expectations.

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Fundamentals Matrix

Overall Fundamentals
Signal: Pending
Capital Strength
Signal: Pending
Float Liquidity
Signal: Pending
Short Pressure
Signal: Pending
Target Setup
Signal: Pending
Market Profile
Signal: Pending
Market Cap
59403928
Enterprise Value
53603854
Public Float
65.38
Broker Target
1050
Shares Out
5165558
Long Interest
100
Short Interest
-
Exchange
LSE
Currency Code
GBX
ISIN
GB0002090453
Market
LSE - AIM
Sector
Household Goods and Home Construction
Float / Shares Ratio
-
Short vs Long Delta
-
EV / Market Cap
-

Financials Matrix

Overall Stability
Signal: Pending
Profitability
Signal: Pending
Debt & Cash
Signal: Pending
Valuation Risk
Signal: Pending
Forward Expectation
Signal: Pending
Dividend Safety
Signal: Pending
Divi Rate
0.06
Ex Divi
2026-03-12
Earnings Date
-
Net Debt
3966000.0
Cash
22312000.0
EPS
1.22
Net Income
6508000.0
Revenue
109986000.0
Enterprise Value
53603854
Trailing PE
9.4262
Forward PE
13.1234
Price Sales TTM
0.5114
Price Book MRQ
1.8052
EV Revenue
0.5296
EV EBITDA
3.2895

Capital Radar

Capital Regime
Building signal blend...
Smart Money Tilt
Public vs institutions
Target Conviction
Broker coverage pulse
Insider Pressure
Director + TR1 flow
Last Held Position
-
Public Hands
-
Institutions
71.7996
Institutions As Of
2026-02-10
Avg Broker Target
-
Upside Vs Price
-
Purchase Director Dealing
0
Sale Director Dealing
2
Purchase TR1
2
Sale TR1
6
Broker Coverage Rows
0
Institution Holders Tracked
5
Public Vs Institutional Ownership (3D)
Top Institution Holders (Latest Per Holder)
Director Dealing Sentiment Flow
Broker Target Bias
Signal: Pending
Capital Momentum Matrix
Broker Targets Vs Price
Aggregated Institution Weight By Holder

Short Data - Last 30 Days

Nexus Pulse Engine

Overall Buy/Sell/Hold
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Technical Composite
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Financial Composite
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Fundamental Composite
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Short Pressure
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Momentum Bias
Signal: Pending

Volatility Lab

ATR(14)
Realized Vol (20d)
Volume Spike Z

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