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IGO (CH:IDZ)
:IDZ
Switzerland Market

IGO (IDZ) Financial Statements

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IGO Financial Overview

IGO's market cap is currently CHF2.88B. The company's EPS TTM is CHF-0.2751; its P/E ratio is -25.05; IGO is scheduled to report earnings on February 18, 2026, and the estimated EPS forecast is CHF0.15. See an overview of income statement, balance sheet, and cash flow financials.
Jun 25Jun 24Jun 23Jun 22Jun 21
Income Statement
Total RevenueAU$ 499.90MAU$ 796.40MAU$ 1.05BAU$ 845.20MAU$ 619.86M
Gross ProfitAU$ -176.50MAU$ -134.60MAU$ 203.20MAU$ 327.30MAU$ 151.74M
Operating IncomeAU$ -255.60MAU$ -183.60MAU$ 140.00MAU$ 297.30MAU$ 121.73M
EBITDAAU$ -811.10MAU$ 148.40MAU$ -592.20MAU$ 468.40MAU$ 358.66M
Net IncomeAU$ -954.60MAU$ 2.80MAU$ 549.10MAU$ 330.90MAU$ 163.84M
Balance Sheet
Cash & Short-Term InvestmentsAU$ 343.50MAU$ 530.40MAU$ 837.60MAU$ 493.90MAU$ 639.46M
Total AssetsAU$ 2.36BAU$ 3.57BAU$ 4.74BAU$ 4.86BAU$ 3.61B
Total DebtAU$ 31.40MAU$ 48.70MAU$ 432.10MAU$ 959.20MAU$ 25.05M
Net DebtAU$ -248.30MAU$ -419.30MAU$ -343.10MAU$ 592.10MAU$ -503.47M
Total LiabilitiesAU$ 263.90MAU$ 357.50MAU$ 947.70MAU$ 1.43BAU$ 408.86M
Stockholders' EquityAU$ 2.09BAU$ 3.21BAU$ 3.79BAU$ 3.44BAU$ 3.20B
Cash Flow
Free Cash FlowAU$ 37.60MAU$ 673.10MAU$ 1.05BAU$ 300.30MAU$ 351.34M
Operating Cash FlowAU$ 42.90MAU$ 872.00MAU$ 1.39BAU$ 388.40MAU$ 446.05M
Investing Cash FlowAU$ -4.00MAU$ -240.30MAU$ -293.60MAU$ -1.28BAU$ -1.06B
Financing Cash FlowAU$ -223.40MAU$ -943.70MAU$ -726.70MAU$ 761.80MAU$ 633.00M
Currency in AUD

IGO Earnings and Revenue History

IGO Debt to Assets

IGO Cash Flow

IGO Forecast EPS vs Actual EPS