Passat (PSAT)

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PSATEuronext 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€62.3M€64.0M€41.7M€40.2M€36.3M
Gross profit€37.1M€36.9M€23.5M€22.9M€20.9M
Gross margin59.59%57.65%56.31%56.97%57.52%
Operating expenses€34.4M€33.8M€15.8M€20.1M€17.6M
Operating income€2.8M€3.1M€7.7M€2.8M€3.3M
Operating margin4.43%4.88%18.42%6.98%9.06%
EBITDA€6.3M€6.6M€10.6M€4.9M€5.0M
EBITDA margin10.08%10.31%25.49%12.24%13.64%
Net income€1.2M€2.5M€3.6M€1.0M€2.5M
Net profit margin1.98%3.84%8.62%2.59%6.84%
Basic EPSper basic share€0.29€0.56€0.89€0.19€0.56

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