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GB Group plc (DE:0GB)
FRANKFURT:0GB
Germany Market

GB Group plc (0GB) Financial Statements

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GB Group plc Financial Overview

GB Group plc's market cap is currently €424.11M. The company's EPS TTM is €-0.322; its P/E ratio is -4.95; GB Group plc is scheduled to report earnings on June 2, 2026, and the estimated EPS forecast is €0.09. See an overview of income statement, balance sheet, and cash flow financials.
Mar 26Mar 25Mar 24Mar 23Mar 22
Income Statement
Total Revenue£ 285.04M£ 282.72M£ 277.32M£ 278.81M£ 242.48M
Gross Profit£ 162.99M£ 197.83M£ 194.52M£ 197.82M£ 171.93M
Operating Income£ 30.02M£ 22.65M£ 18.43M£ -112.43M£ 23.41M
EBITDA£ 65.22M£ 59.38M£ 953.00K£ -66.03M£ 51.54M
Net Income£ -75.09M£ 8.63M£ -48.58M£ -119.79M£ 15.26M
Balance Sheet
Cash & Short-Term Investments£ 31.43M£ 25.16M£ 21.32M£ 21.55M£ 22.30M
Total Assets£ 707.38M£ 805.15M£ 852.90M£ 955.12M£ 1.10B
Total Debt£ 113.61M£ 74.26M£ 102.83M£ 128.18M£ 131.60M
Net Debt£ 82.19M£ 49.10M£ 81.50M£ 106.63M£ 109.30M
Total Liabilities£ 231.85M£ 193.77M£ 227.78M£ 260.98M£ 314.98M
Stockholders' Equity£ 475.52M£ 611.37M£ 625.13M£ 694.14M£ 787.13M
Cash Flow
Free Cash Flow£ 38.49M£ 51.99M£ 35.02M£ 33.28M£ 42.91M
Operating Cash Flow£ 39.80M£ 52.76M£ 35.48M£ 34.31M£ 44.65M
Investing Cash Flow£ -8.21M£ -670.00K£ -351.00K£ -5.39M£ -462.20M
Financing Cash Flow£ -24.78M£ -47.74M£ -34.78M£ -30.01M£ 415.68M
Currency in GBP

GB Group plc Earnings and Revenue History

GB Group plc Debt to Assets

GB Group plc Cash Flow

GB Group plc Forecast EPS vs Actual EPS