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Purefun Group AB (SE:VUXEN)
:VUXEN
Sweden Market

Purefun Group AB (VUXEN) Financial Statements

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Purefun Group AB Financial Overview

Purefun Group AB's market cap is currently kr357.28M. The company's EPS TTM is kr1.3448; its P/E ratio is 23.65; Purefun Group AB is scheduled to report earnings on ―, and the estimated EPS forecast is kr―. See an overview of income statement, balance sheet, and cash flow financials.
Apr 26Apr 25Apr 24Apr 23Apr 22
Income Statement
Total Revenuekr 245.65Mkr 214.86Mkr 204.42Mkr 195.20Mkr 149.68M
Gross Profitkr 151.35Mkr 124.96Mkr 77.58Mkr 72.41Mkr 53.35M
Operating Incomekr 16.05Mkr 4.91Mkr 9.44Mkr 6.95Mkr 6.19M
EBITDAkr 22.90Mkr 12.28Mkr 15.60Mkr 12.32Mkr 11.89M
Net Incomekr 11.62Mkr 1.82Mkr 4.09Mkr 2.99Mkr 5.27M
Balance Sheet
Cash & Short-Term Investmentskr 37.32Mkr 17.89Mkr 16.45Mkr 9.55Mkr 11.43M
Total Assetskr 138.50Mkr 124.37Mkr 138.29Mkr 125.65Mkr 95.02M
Total Debtkr 7.11Mkr 9.14Mkr 11.06Mkr 13.20Mkr 18.40M
Net Debtkr -30.22Mkr -8.74Mkr -5.39Mkr 4.60Mkr 9.11M
Total Liabilitieskr 33.70Mkr 31.19Mkr 47.72Mkr 40.98Mkr 44.67M
Stockholders' Equitykr 104.80Mkr 64.65Mkr 62.73Mkr 58.59Mkr 38.40M
Cash Flow
Free Cash Flowkr 20.10Mkr 14.08Mkr 13.18Mkr -7.70Mkr -16.66M
Operating Cash Flowkr 20.10Mkr 14.79Mkr 13.37Mkr -700.00Kkr -2.68M
Investing Cash Flowkr 1.38Mkr -440.00Kkr -3.34Mkr -5.80Mkr -6.14M
Financing Cash Flowkr -2.04Mkr -12.92Mkr -2.17Mkr 5.80Mkr 2.74M
Currency in SEK

Purefun Group AB Earnings and Revenue History

Purefun Group AB Debt to Assets

Purefun Group AB Cash Flow

Purefun Group AB Forecast EPS vs Actual EPS

Currently, no data available
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