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TGS (DE:TGC)
FRANKFURT:TGC
Germany Market

TGS (TGC) Financial Statements

4 Followers

TGS Financial Overview

TGS's market cap is currently €2.64B. The company's EPS TTM is €0.8; its P/E ratio is -3,003.07; TGS is scheduled to report earnings on April 30, 2026, and the estimated EPS forecast is €0.17. See an overview of income statement, balance sheet, and cash flow financials.
Dec 25Dec 24Dec 23Dec 22Dec 21
Income Statement
Total Revenue$ 1.53B$ 1.32B$ 794.30M$ 716.63M$ 518.69M
Gross Profit$ 544.90M$ 501.70M$ 576.88M$ 291.60M$ 313.53M
Operating Income$ 182.40M$ 195.54M$ 53.27M$ 132.03M$ 201.97M
EBITDA$ 900.50M$ 572.22M$ 400.26M$ 540.97M$ 395.50M
Net Income$ 18.30M$ 94.22M$ 21.65M$ 87.80M$ -75.98M
Balance Sheet
Cash & Short-Term Investments$ 212.30M$ 122.80M$ 196.74M$ 187.11M$ 213.83M
Total Assets$ 3.93B$ 4.04B$ 1.96B$ 1.84B$ 1.63B
Total Debt$ 856.10M$ 820.38M$ 132.87M$ 149.24M$ 84.00M
Net Debt$ 643.80M$ 697.58M$ -62.39M$ -37.87M$ -129.84M
Total Liabilities$ 1.95B$ 1.96B$ 680.84M$ 599.13M$ 514.50M
Stockholders' Equity$ 1.98B$ 2.08B$ 1.28B$ 1.24B$ 1.12B
Cash Flow
Free Cash Flow$ 380.60M$ 193.23M$ 146.45M$ 118.60M$ 132.58M
Operating Cash Flow$ 850.00M$ 628.72M$ 584.65M$ 343.15M$ 317.65M
Investing Cash Flow$ -459.90M$ -399.75M$ -428.08M$ -272.72M$ -200.85M
Financing Cash Flow$ -294.20M$ -293.71M$ -152.00M$ -99.36M$ -90.08M
Currency in USD

TGS Earnings and Revenue History

TGS Debt to Assets

TGS Cash Flow

TGS Forecast EPS vs Actual EPS