Breakdown | |||||
TTM | Dec 2024 | Dec 2023 | Dec 2022 | Dec 2021 | Dec 2020 |
---|---|---|---|---|---|
Income Statement | Total Revenue | ||||
443.30M | 444.40M | 428.60M | 430.90M | 522.40M | 432.80M | Gross Profit |
225.30M | 225.70M | 212.90M | 202.80M | 256.70M | 213.90M | EBIT |
-300.00K | -4.80M | -8.40M | -27.70M | 21.10M | 31.40M | EBITDA |
19.30M | 17.10M | 12.40M | -11.00M | 33.40M | 41.00M | Net Income Common Stockholders |
-600.00K | -5.00M | -12.40M | -32.40M | 12.00M | 29.80M |
Balance Sheet | Cash, Cash Equivalents and Short-Term Investments | ||||
81.50M | 68.80M | 81.50M | 76.00M | 97.30M | 104.80M | Total Assets |
210.50M | 199.30M | 203.40M | 228.30M | 277.40M | 229.00M | Total Debt |
36.70M | 33.40M | 36.70M | 44.70M | 45.80M | 28.90M | Net Debt |
-44.80M | -35.40M | -44.80M | -31.30M | -51.50M | -75.90M | Total Liabilities |
135.50M | 139.90M | 128.40M | 138.20M | 158.10M | 120.30M | Stockholders Equity |
75.00M | 59.40M | 75.00M | 90.10M | 119.30M | 111.50M |
Cash Flow | Free Cash Flow | ||||
-13.00M | 6.40M | 27.90M | -21.40M | 3.80M | 39.30M | Operating Cash Flow |
-3.30M | 16.60M | 33.30M | -7.50M | 18.70M | 47.50M | Investing Cash Flow |
-1.60M | -7.50M | -3.80M | -11.40M | -16.00M | -8.00M | Financing Cash Flow |
-20.40M | -21.80M | -23.90M | -2.70M | -9.70M | -7.30M |
Name | Overall Rating | Market Cap | P/E Ratio | ROE | Dividend Yield | Revenue Growth | EPS Growth |
---|---|---|---|---|---|---|---|
70 Outperform | €39.12B | 38.28 | 19.28% | 0.32% | 12.80% | 662.68% | |
70 Outperform | $3.46B | 17.89 | 10.66% | 3.40% | 3.22% | -28.92% | |
67 Neutral | €8.05B | 29.82 | 10.57% | ― | 6.14% | 140.08% | |
67 Neutral | €1.76B | ― | -20.86% | ― | -1.77% | -361.24% | |
61 Neutral | $6.98B | 11.36 | 2.87% | 3.90% | 2.65% | -21.76% | |
57 Neutral | €104.67M | ― | -9.49% | ― | 6.69% | 84.27% | |
49 Neutral | €162.49M | ― | -0.89% | ― | 2.05% | 97.89% |