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Oriole Resources PLC (DE:S1Y)
FRANKFURT:S1Y
Germany Market

Oriole Resources PLC (S1Y) Financial Statements

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Oriole Resources PLC Financial Overview

Oriole Resources PLC's market cap is currently €18.27M. The company's EPS TTM is €0; its P/E ratio is -15.75; Oriole Resources PLC is scheduled to report earnings on April 21, 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£ 0.00£ 0.00£ 0.00£ 0.00£ 0.00
Gross Profit£ -5.00K£ -4.00K£ -7.00K£ -8.00K£ -9.00K
Operating Income£ -1.50M£ -1.53M£ -1.54M£ -1.18M£ -1.44M
EBITDA£ -1.43M£ -285.00K£ -2.42M£ -515.00K£ -1.57M
Net Income£ -702.00K£ -225.00K£ -2.22M£ -1.57M£ -1.57M
Balance Sheet
Cash & Short-Term Investments£ 2.50M£ 1.32M£ 707.00K£ 507.00K£ 1.36M
Total Assets£ 16.38M£ 14.65M£ 12.01M£ 12.13M£ 13.16M
Total Debt£ 0.00£ 0.00£ 0.00£ 4.00K£ 7.00K
Net Debt£ -2.50M£ -705.00K£ -114.00K£ -503.00K£ -1.35M
Total Liabilities£ 3.54M£ 2.77M£ 607.00K£ 248.00K£ 567.00K
Stockholders' Equity£ 13.12M£ 11.92M£ 11.69M£ 12.12M£ 12.73M
Cash Flow
Free Cash Flow£ -3.53M£ -4.18M£ -854.00K£ -2.16M£ -2.87M
Operating Cash Flow£ -1.39M£ -1.44M£ -525.00K£ -1.30M£ -1.07M
Investing Cash Flow£ 729.00K£ 881.00K£ -171.00K£ -444.00K£ -1.75M
Financing Cash Flow£ 2.45M£ 1.15M£ 303.00K£ 895.00K£ 2.43M
Currency in GBP

Oriole Resources PLC Earnings and Revenue History

Oriole Resources PLC Debt to Assets

Oriole Resources PLC Cash Flow

Oriole Resources PLC Forecast EPS vs Actual EPS