Xilam Animation (XIL)

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XILEuronext Paris
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Financial charts

Total cash / debt

CashTotal debt

Financial statements

5 annual periodsNewest to oldest
20242023202220212020
Revenue€32.3M€48.2M€46.7M€40.2M€24.7M
Operating income−€27.7M€4.9M€2.2M€8.7M€4.2M
Operating margin−85.79%10.21%4.75%21.62%17.22%
Net income−€26.7M€4.9M€1.3M€6.8M€2.8M
Net profit margin−82.62%10.08%2.88%17.00%11.38%
Basic EPSper basic share-€4.37€1.07€0.30€1.30€0.53
Diluted EPSper diluted share-€4.31€1.07€0.30€1.30€0.53

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