123fahrschule SE (123F)

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123FXetra
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Financial charts

Net income

Total cash / debt

CashTotal debt

Financial statements

5 annual periodsNewest to oldest
20252024202320222021
Revenue€25.0M€22.5M€20.6M€16.7M
Operating expenses€18.8M€15.0M€14.0M€12.3M
Operating income−€6.5M−€3.2M−€4.3M−€5.6M
Operating margin−25.84%−14.15%−20.90%−33.85%
EBITDA−€1.5M€532,304.98−€887,072.14−€2.7M
EBITDA margin−5.89%2.36%−4.30%−16.03%
Net income−€6.5M−€7.0M−€3.9M−€4.4M
Net profit margin−26.16%−31.23%−18.95%−26.28%
Basic EPSper basic share-€1.18-€1.26-€0.80-€1.21
Diluted EPSper diluted share-€1.18-€1.26-€0.80-€1.21

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