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Carel Industries SpA (GB:0YQA)
LSE:0YQA
UK Market

Carel Industries SpA (0YQA) Financial Statements

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Carel Industries SpA Financial Overview

Carel Industries SpA's market cap is currently €2.37B. The company's EPS TTM is €0.09; its P/E ratio is 41.64; and it has a dividend yield of 0.90%. Carel Industries SpA is scheduled to report earnings on May 13, 2025, and the estimated EPS forecast is €―. See an overview of income statement, balance sheet, and cash flow financials.
Dec 24Dec 23Dec 22Dec 21Dec 20
Income Statement
Total Revenue€ 578.54M€ 650.25M€ 548.97M€ 426.20M€ 333.93M
Gross Profit€ 263.97M€ 285.19M€ 230.60M€ 186.28M€ 153.98M
Operating Income€ 66.53M€ 104.40M€ 87.31M€ 64.46M€ 46.71M
EBITDA€ 104.87M€ 136.72M€ 108.41M€ 81.82M€ 64.21M
Net Income€ 62.64M€ 70.94M€ 62.12M€ 49.06M€ 35.11M
Balance Sheet
Cash & Short-Term Investments€ 102.41M€ 157.17M€ 107.49M€ 100.63M€ 105.59M
Total Assets€ 851.02M€ 920.40M€ 640.46M€ 507.80M€ 414.14M
Total Debt€ 151.60M€ 185.85M€ 155.73M€ 157.44M€ 162.10M
Net Debt€ 52.48M€ 31.84M€ 59.10M€ 56.81M€ 56.52M
Total Liabilities€ 409.49M€ 524.23M€ 419.22M€ 337.92M€ 254.52M
Stockholders' Equity€ 434.94M€ 376.42M€ 205.38M€ 154.95M€ 159.32M
Cash Flow
Free Cash Flow€ 63.90M€ 74.62M€ 42.61M€ 35.48M€ 43.76M
Operating Cash Flow€ 85.38M€ 102.03M€ 69.41M€ 54.12M€ 57.10M
Investing Cash Flow€ -27.65M€ -197.00M€ -79.66M€ -41.78M€ -13.04M
Financing Cash Flow€ -111.94M€ 153.53M€ 6.21M€ -18.98M€ 594.00K
Currency in EUR

Carel Industries SpA Earnings and Revenue History

Carel Industries SpA Debt to Assets

Carel Industries SpA Cash Flow

Carel Industries SpA Forecast EPS vs Actual EPS

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