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THG (THGPF)
OTHER OTC:THGPF
US Market

THG (THGPF) Financial Statements

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THG Financial Overview

THG's market cap is currently $853.84M. The company's EPS TTM is $-0.0658; its P/E ratio is -5.27; THG is scheduled to report earnings on March 26, 2026, and the estimated EPS forecast is $―. See an overview of income statement, balance sheet, and cash flow financials.
Dec 25Dec 24Dec 23Dec 22Dec 21
Income Statement
Total Revenue£ 1.72B£ 1.75B£ 2.05B£ 2.24B£ 2.18B
Gross Profit£ 630.76M£ 693.60M£ 840.29M£ 771.00M£ 855.37M
Operating Income£ -35.49M£ -147.90M£ -185.39M£ -174.81M£ -10.23M
EBITDA£ 54.87M£ -48.64M£ 42.42M£ -289.44M£ 32.07M
Net Income£ 54.13M£ -326.14M£ -248.37M£ -539.96M£ -138.07M
Balance Sheet
Cash & Short-Term Investments£ 183.10M£ 309.35M£ 416.16M£ 473.78M£ 536.83M
Total Assets£ 1.60B£ 2.55B£ 2.78B£ 3.09B£ 3.42B
Total Debt£ 561.17M£ 645.94M£ 995.01M£ 1.01B£ 839.04M
Net Debt£ 378.07M£ 337.31M£ 578.85M£ 539.78M£ 302.21M
Total Liabilities£ 1.17B£ 2.24B£ 1.76B£ 1.79B£ 1.67B
Stockholders' Equity£ 425.22M£ 305.83M£ 1.02B£ 1.30B£ 1.76B
Cash Flow
Free Cash Flow£ -14.09M£ 28.99M£ 16.15M£ -164.27M£ -190.88M
Operating Cash Flow£ -10.06M£ 96.46M£ 141.81M£ 12.15M£ -1.71M
Investing Cash Flow£ 33.52M£ -92.11M£ -77.14M£ -182.11M£ -959.06M
Financing Cash Flow£ -148.98M£ -22.91M£ -122.29M£ 106.92M£ 724.01M
Currency in GBP

THG Earnings and Revenue History

THG Debt to Assets

THG Cash Flow

THG Forecast EPS vs Actual EPS