Phoenix Spree Deutschland Limited (PSDL)

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PSDLLondon Stock Exchange
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Financial charts

Total cash / debt

CashTotal debt

Financial statements

6 annual periodsNewest to oldest
202520242023202220212020
Revenue€22.7M€28.1M€27.5M€25.9M€25.8M€23.9M
Gross profit€7.3M€12.4M€10.1M€8.8M€9.7M€7.5M
Gross margin32.35%43.98%36.93%33.99%37.64%31.22%
Operating expenses€8.5M€12.4M€105.3M€45.3M
Operating income−€1.1M−€50,000−€95.2M−€36.5M€45.4M€48.3M
Operating margin−4.91%−0.18%−346.79%−140.87%176.11%201.99%
Net income−€6.5M−€40.1M−€98.8M−€15.8M€37.4M€30.3M
Net profit margin−28.45%−142.57%−359.71%−60.96%144.89%126.81%
Basic EPSper basic share-€0.07-€0.42-€1.07-€0.17€0.39€0.31
Diluted EPSper diluted share-€0.07-€0.42-€1.07-€0.17€0.39€0.30

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