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Cast (CAS)
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CAS
Euronext Paris
1M
6M
1Y
5Y
MAX
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Financial charts
Revenue
2020
2021
Net income
2020
2021
Free cash flow
2020
2021
Total cash / debt
Cash
Total debt
2020
2021
Financial statements
Income statement
Balance sheet
Cash flow
2
annual periods
Newest to oldest
← Latest
Earliest →
2021
2020
Revenue
€44.2M
€41.0M
Operating income
€5.1M
€3.2M
Operating margin
11.43%
7.80%
Net income
€4.2M
€74,000
Net profit margin
9.52%
0.18%
Basic EPS
per basic share
€0.23
€0.00
Diluted EPS
per diluted share
€0.22
€0.00
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