Rallye (RAL)

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RALEuronext Paris
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Financial charts

Net income

Total cash / debt

CashTotal debt

Financial statements

4 annual periodsNewest to oldest
2023202220212020
Revenue€5.0M€5.0M€31.06B€31.92B
Gross profit€5.0M€5.0M€7.62B€7.60B
Gross margin100.00%100.00%24.54%23.82%
Operating expenses€41.0M€18.0M€7.11B€7.00B
Operating income−€36.0M−€13.0M€512.0M€605.0M
Operating margin−720.00%−260.00%1.65%1.90%
EBITDA€1.38B€1.84B
EBITDA margin27,560.00%5.93%
Net income−€8.50B−€412.0M−€383.0M−€476.0M
Net profit margin−169,980.00%−8,240.00%−1.23%−1.49%
Basic EPSper basic share-€74.32-€4.82-€5.26-€5.84
Diluted EPSper diluted share-€74.32-€4.82-€5.26

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