Maven Renovar Vct plc (MRV)

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MRVLondon Stock Exchange
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Financial charts

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Total cash / debt

CashTotal debt

Financial statements

5 annual periodsNewest to oldest
20262025202420232022
Revenue£897,000−£2.2M−£44.3M−£57.7M
Operating expenses£1.8M£707,000£550,000£588,000
Net income−£881,000−£2.9M−£44.8M−£58.2M
Net profit margin−98.22%
Basic EPSper basic share-£0.30-£0.39-£0.18
Diluted EPSper diluted share-£0.30-£0.39-£0.18

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