tiprankstipranks
SpyroSoft SA (PL:SPR)
:SPR
Poland Market

SpyroSoft SA (SPR) Financial Statements

Followers

SpyroSoft SA Financial Overview

SpyroSoft SA's market cap is currently zł437.68M. The company's EPS TTM is zł38.2; its P/E ratio is 10.48; SpyroSoft SA is scheduled to report earnings on May 25, 2026, and the estimated EPS forecast is zł―. See an overview of income statement, balance sheet, and cash flow financials.
Mar 26Mar 25Dec 23Dec 22Dec 21
Income Statement
Total Revenuezł 601.25Mzł 465.42Mzł 416.11Mzł 331.45Mzł 173.43M
Gross Profitzł 190.81Mzł 150.92Mzł 130.48Mzł 109.62Mzł 60.31M
Operating Incomezł 58.81Mzł 45.13Mzł 30.93Mzł 45.10Mzł 23.06M
EBITDAzł 70.22Mzł 57.27Mzł 37.08Mzł 53.96Mzł 30.00M
Net Incomezł 40.75Mzł 34.29Mzł 19.71Mzł 37.34Mzł 14.68M
Balance Sheet
Cash & Short-Term Investmentszł 86.39Mzł 58.26Mzł 44.72Mzł 33.89Mzł 16.47M
Total Assetszł 311.49Mzł 245.12Mzł 198.52Mzł 164.99Mzł 82.42M
Total Debtzł 21.84Mzł 28.93Mzł 43.77Mzł 25.00Mzł 11.57M
Net Debtzł -64.55Mzł -29.32Mzł -757.87Kzł -8.75Mzł -4.90M
Total Liabilitieszł 101.14Mzł 84.51Mzł 89.67Mzł 79.89Mzł 35.59M
Stockholders' Equityzł 161.04Mzł 119.79Mzł 83.98Mzł 64.03Mzł 38.10M
Cash Flow
Free Cash Flowzł 51.94Mzł 51.03Mzł 8.44Mzł 26.40Mzł 9.26M
Operating Cash Flowzł 58.36Mzł 56.29Mzł 11.91Mzł 33.24Mzł 14.46M
Investing Cash Flowzł -17.93Mzł -9.38Mzł -10.14Mzł -5.20Mzł -4.13M
Financing Cash Flowzł -12.29Mzł -33.37Mzł 10.92Mzł -10.41Mzł -6.22M
Currency in PLN

SpyroSoft SA Earnings and Revenue History

SpyroSoft SA Debt to Assets

SpyroSoft SA Cash Flow

SpyroSoft SA Forecast EPS vs Actual EPS

Currently, no data available
Please return soon. This page is being updated.