Sogeclair (SOG)

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SOGEuronext Paris
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Financial charts

Net income

Free cash flow

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Total cash / debt

CashTotal debt

Financial statements

4 annual periodsNewest to oldest
2022202120202019
Revenue€134.9M€121.0M€123.1M€185.0M
Operating income€4.7M€4.1M−€13.3M€8.8M
Operating margin3.49%3.40%−10.77%4.76%
EBITDA€12.7M€11.3M−€6.1M€16.6M
EBITDA margin9.42%9.34%−4.94%8.96%
Net income€2.6M€3.4M−€13.9M€5.8M
Net profit margin1.91%2.79%−11.26%3.15%
Basic EPSper basic share€0.65€0.86-€4.84€1.68
Diluted EPSper diluted share€0.65€0.86-€4.84€1.68

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