Capital Gearing Trust plc (CGT)

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CGTLondon Stock Exchange
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Financial charts

Net income

Free cash flow

No reported data

Total cash / debt

CashTotal debt

Financial statements

5 annual periodsNewest to oldest
20262025202420232022
Revenue£46.9M£37.5M£18.0M−£48.7M
Operating expenses£1.5M£1.5M£1.1M£974,000
Net income£45.4M£36.0M£13.7M−£51.4M
Net profit margin96.84%95.86%76.20%
Basic EPSper basic share£1.80£0.56-£2.06£3.95
Diluted EPSper diluted share£1.80£0.56-£2.06£3.95

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