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BEST S.A. (PL:BST)
:BST
Poland Market

BEST S.A. (BST) Financial Statements

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BEST S.A. Financial Overview

BEST S.A.'s market cap is currently zł1.00B. The company's EPS TTM is zł4.58; its P/E ratio is 7.62; BEST S.A. is scheduled to report earnings on ―, and the estimated EPS forecast is zł―. See an overview of income statement, balance sheet, and cash flow financials.
Dec 25Dec 24Dec 23Dec 22Dec 21
Income Statement
Total Revenuezł 571.37Mzł 315.59Mzł 287.33Mzł 263.42Mzł 235.33M
Gross Profitzł 468.22Mzł 162.53Mzł 195.41Mzł 164.81Mzł 160.00M
Operating Incomezł 297.75Mzł 174.62Mzł 134.81Mzł 224.22Mzł 98.67M
EBITDAzł 221.31Mzł 111.67Mzł 94.27Mzł 197.21Mzł 115.15M
Net Incomezł 97.03Mzł 102.73Mzł 50.39Mzł 142.28Mzł 49.31M
Balance Sheet
Cash & Short-Term Investmentszł 80.51Mzł 164.87Mzł 68.27Mzł 79.87Mzł 47.33M
Total Assetszł 2.92Bzł 1.86Bzł 1.55Bzł 1.35Bzł 1.17B
Total Debtzł 1.52Bzł 824.34Mzł 685.83Mzł 459.84Mzł 438.10M
Net Debtzł 1.44Bzł 741.97Mzł 620.98Mzł 407.62Mzł 390.77M
Total Liabilitieszł 1.77Bzł 959.01Mzł 795.10Mzł 660.30Mzł 624.49M
Stockholders' Equityzł 1.15Bzł 897.79Mzł 749.81Mzł 688.73Mzł 548.92M
Cash Flow
Free Cash Flowzł -293.50Mzł -45.16Mzł -136.06Mzł 61.57Mzł 109.17M
Operating Cash Flowzł -281.74Mzł -31.80Mzł -128.84Mzł 67.00Mzł 114.17M
Investing Cash Flowzł -11.68Mzł -14.59Mzł -8.04Mzł -5.35Mzł -4.92M
Financing Cash Flowzł 291.81Mzł 63.83Mzł 150.00Mzł -56.80Mzł -127.51M
Currency in PLN

BEST S.A. Earnings and Revenue History

BEST S.A. Debt to Assets

BEST S.A. Cash Flow

BEST S.A. Forecast EPS vs Actual EPS

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