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TT Electronics (DE:7TT)
FRANKFURT:7TT
Germany Market

TT Electronics (7TT) Financial Statements

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TT Electronics Financial Overview

TT Electronics's market cap is currently €238.78M. The company's EPS TTM is €-0.29; its P/E ratio is -4.11; TT Electronics is scheduled to report earnings on March 25, 2026, and the estimated EPS forecast is €―. See an overview of income statement, balance sheet, and cash flow financials.
Dec 25Dec 24Dec 23Dec 22Dec 21
Income Statement
Total Revenue£ 481.40M£ 521.10M£ 613.90M£ 617.00M£ 476.20M
Gross Profit£ 110.10M£ 109.70M£ 147.00M£ 135.50M£ 115.60M
Operating Income£ 34.60M£ -23.50M£ 8.70M£ 38.60M£ 19.30M
EBITDA£ 49.30M£ -5.50M£ 31.40M£ 20.90M£ 41.50M
Net Income£ -50.60M£ -53.40M£ -6.80M£ -13.20M£ 12.80M
Balance Sheet
Cash & Short-Term Investments£ 38.70M£ 69.20M£ 74.10M£ 65.00M£ 68.30M
Total Assets£ 394.00M£ 512.30M£ 655.10M£ 707.20M£ 671.40M
Total Debt£ 103.40M£ 166.60M£ 201.30M£ 203.40M£ 170.80M
Net Debt£ 64.70M£ 97.40M£ 127.20M£ 138.40M£ 102.50M
Total Liabilities£ 246.50M£ 317.40M£ 384.60M£ 410.20M£ 341.40M
Stockholders' Equity£ 147.50M£ 194.90M£ 270.50M£ 297.00M£ 328.00M
Cash Flow
Free Cash Flow£ 34.20M£ 33.70M£ 38.40M£ -1.60M£ -2.70M
Operating Cash Flow£ 42.30M£ 40.60M£ 62.90M£ 12.70M£ 14.30M
Investing Cash Flow£ -8.60M£ 3.50M£ -27.60M£ -22.30M£ -8.20M
Financing Cash Flow£ -62.30M£ -62.40M£ -19.60M£ 400.00K£ -8.90M
Currency in GBP

TT Electronics Earnings and Revenue History

TT Electronics Debt to Assets

TT Electronics Cash Flow

TT Electronics Forecast EPS vs Actual EPS