Forsee Power (FORSE)

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FORSEEuronext Paris
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Financial charts

Free cash flow

No reported data

Total cash / debt

CashTotal debt

Financial statements

5 annual periodsNewest to oldest
20242023202220212020
Revenue€151.8M€171.2M€111.0M€72.4M€62.1M
Operating income−€12.5M−€23.2M−€30.1M−€26.8M−€20.0M
Operating margin−8.26%−13.52%−27.12%−36.97%−32.29%
EBITDA−€3.5M−€13.2M−€21.0M−€22.0M−€15.6M
EBITDA margin−2.32%−7.69%−18.94%−30.39%−25.13%
Net income−€12.1M−€28.0M−€32.6M−€38.1M−€30.1M
Net profit margin−7.96%−16.33%−29.34%−52.60%−48.44%
Basic EPSper basic share-€0.17-€0.43-€0.61-€1.10-€1.00
Diluted EPSper diluted share€0.00€0.00

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