Carmila SA (CARM)

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CARMEuronext Paris
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Financial charts

Total cash / debt

CashTotal debt

Financial statements

6 annual periodsNewest to oldest
202520242023202220212020
Revenue€543.9M€506.9M€462.0M€445.8M
Operating expenses€64.5M−€84.1M€54.0M€46.5M
Operating income€338.7M€454.8M€288.4M€288.7M€234.2M−€122.9M
Operating margin62.26%89.71%62.42%64.77%
EBITDA€297.6M€431.2M€101.3M€284.8M
EBITDA margin54.71%85.06%21.93%63.88%
Net income€185.5M€314.1M€2.7M€219.7M€192.3M−€198.3M
Net profit margin34.10%61.97%0.59%49.28%
Basic EPSper basic share€1.32€2.21€0.02€1.52€1.33-€1.42
Diluted EPSper diluted share€1.32€2.21€0.02€1.52€1.33-€1.41

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