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Kogan.com Ltd. (DE:UZQ)
FRANKFURT:UZQ
Germany Market

Kogan.com (UZQ) Financial Statements

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Kogan.com Financial Overview

Kogan.com's market cap is currently €199.89M. The company's EPS TTM is €0.1137; its P/E ratio is 29.90; Kogan.com is scheduled to report earnings on August 23, 2026, and the estimated EPS forecast is €―. See an overview of income statement, balance sheet, and cash flow financials.
Jun 26Jun 25Jun 24Jun 23Jun 22
Income Statement
Total RevenueAU$ 510.61MAU$ 488.11MAU$ 459.70MAU$ 488.38MAU$ 717.60M
Gross ProfitAU$ 210.81MAU$ 189.91MAU$ 168.44MAU$ 135.44MAU$ 183.52M
Operating IncomeAU$ 23.85MAU$ -30.68MAU$ 21.96MAU$ -35.39MAU$ -41.95M
EBITDAAU$ 39.93MAU$ 31.68MAU$ 38.09MAU$ -19.12MAU$ -21.43M
Net IncomeAU$ 11.17MAU$ -39.47MAU$ 83.00KAU$ -25.85MAU$ -35.46M
Balance Sheet
Cash & Short-Term InvestmentsAU$ 36.43MAU$ 42.27MAU$ 41.34MAU$ 65.44MAU$ 66.23M
Total AssetsAU$ 193.47MAU$ 190.15MAU$ 243.43MAU$ 274.06MAU$ 360.31M
Total DebtAU$ 17.36MAU$ 16.66MAU$ 23.04MAU$ 15.73MAU$ 57.53M
Net DebtAU$ -19.07MAU$ -25.49MAU$ -18.15MAU$ -49.71MAU$ -8.70M
Total LiabilitiesAU$ 159.04MAU$ 129.62MAU$ 119.83MAU$ 106.34MAU$ 187.67M
Stockholders' EquityAU$ 34.43MAU$ 60.53MAU$ 123.60MAU$ 167.72MAU$ 172.64M
Cash Flow
Free Cash FlowAU$ 41.82MAU$ 36.96MAU$ 23.17MAU$ 66.70MAU$ 56.28M
Operating Cash FlowAU$ 41.95MAU$ 37.29MAU$ 28.19MAU$ 70.86MAU$ 61.84M
Investing Cash FlowAU$ -3.60MAU$ -4.90MAU$ -15.96MAU$ -18.05MAU$ -32.78M
Financing Cash FlowAU$ -41.60MAU$ -31.57MAU$ -36.39MAU$ -53.79MAU$ -54.24M
Currency in AUD

Kogan.com Earnings and Revenue History

Kogan.com Debt to Assets

Kogan.com Cash Flow

Kogan.com Forecast EPS vs Actual EPS