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Computacenter PLC (CUUCF)
OTHER OTC:CUUCF
US Market

Computacenter (CUUCF) Financial Statements

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Computacenter Financial Overview

Computacenter's market cap is currently $7.30B. The company's EPS TTM is $1.21; its P/E ratio is 42.15; Computacenter is scheduled to report earnings on March 12, 2026, and the estimated EPS forecast is $1.38. See an overview of income statement, balance sheet, and cash flow financials.
Dec 25Dec 24Dec 23Dec 22Dec 21
Income Statement
Total Revenue£ 9.19B£ 6.96B£ 6.92B£ 6.47B£ 5.03B
Gross Profit£ 1.13B£ 1.03B£ 1.04B£ 936.20M£ 860.20M
Operating Income£ 264.60M£ 237.90M£ 268.80M£ 258.00M£ 261.00M
EBITDA£ 340.20M£ 268.20M£ 363.00M£ 349.70M£ 346.20M
Net Income£ 153.70M£ 170.80M£ 197.60M£ 182.80M£ 185.30M
Balance Sheet
Cash & Short-Term Investments£ 628.50M£ 489.60M£ 471.20M£ 275.10M£ 285.20M
Total Assets£ 4.06B£ 3.37B£ 3.06B£ 3.28B£ 2.71B
Total Debt£ 202.30M£ 136.90M£ 127.60M£ 157.90M£ 189.90M
Net Debt£ -426.20M£ -352.70M£ -343.60M£ -117.20M£ -95.30M
Total Liabilities£ 3.17B£ 2.55B£ 2.11B£ 2.41B£ 1.97B
Stockholders' Equity£ 897.90M£ 810.20M£ 941.70M£ 865.70M£ 740.50M
Cash Flow
Free Cash Flow£ 273.80M£ 398.10M£ 375.50M£ 206.10M£ 192.00M
Operating Cash Flow£ 295.60M£ 417.10M£ 410.60M£ 241.60M£ 222.30M
Investing Cash Flow£ -37.60M£ -38.20M£ -39.40M£ -62.70M£ -25.30M
Financing Cash Flow£ -122.20M£ -349.40M£ -163.60M£ -180.50M£ -226.10M
Currency in GBP

Computacenter Earnings and Revenue History

Computacenter Debt to Assets

Computacenter Cash Flow

Computacenter Forecast EPS vs Actual EPS