Prodways Group (PWG)

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PWGEuronext Paris
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Financial charts

Total cash / debt

CashTotal debt

Financial statements

5 annual periodsNewest to oldest
20242023202220212020
Revenue€58.7M€74.6M€80.7M€70.6M€57.2M
Operating income€1.3M−€12.6M€4.9M€1.8M−€14.8M
Operating margin2.16%−16.89%6.10%2.52%−25.80%
Net income€613,000−€14.0M€1.6M€552,000−€14.0M
Net profit margin1.04%−18.81%1.96%0.78%−24.55%
Basic EPSper basic share€0.01-€0.27€0.03€0.01-€0.27
Diluted EPSper diluted share€0.01-€0.27€0.03€0.01-€0.27

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