tiprankstipranks
Trending News
More News >
Dr. Martens Plc (DE:3U2)
FRANKFURT:3U2
Germany Market
Advertisement

Dr. Martens Plc (3U2) Financial Statements

Compare
4 Followers

Dr. Martens Plc Financial Overview

Dr. Martens Plc's market cap is currently £881.54M. The company's EPS TTM is €0.041516387999999994; its P/E ratio is 156.25; and it has a dividend yield of 248.00%. Dr. Martens Plc is scheduled to report earnings on June 5, 2025, and the estimated EPS forecast is €-0.01. See an overview of income statement, balance sheet, and cash flow financials.
Mar 25Mar 24Mar 23Mar 22Mar 21
Income Statement
Total Revenue£ 787.60M£ 877.10M£ 1.00B£ 908.30M£ 773.00M
Gross Profit£ 511.70M£ 502.90M£ 563.90M£ 542.10M£ 436.70M
Operating Income£ 56.10M£ 126.40M£ 190.80M£ 232.70M£ 196.70M
EBITDA£ 110.50M£ 197.50M£ 204.40M£ 266.00M£ 145.10M
Net Income£ 4.50M£ 69.20M£ 128.90M£ 181.20M£ 34.70M
Balance Sheet
Cash & Short-Term Investments£ 155.90M£ 111.10M£ 157.50M£ 228.00M£ 113.60M
Total Assets£ 889.80M£ 952.40M£ 992.60M£ 859.10M£ 651.80M
Total Debt£ 404.10M£ 468.60M£ 445.80M£ 393.80M£ 366.40M
Net Debt£ 248.20M£ 357.50M£ 288.30M£ 165.80M£ 252.80M
Total Liabilities£ 523.40M£ 584.20M£ 588.40M£ 530.90M£ 502.10M
Stockholders' Equity£ 366.40M£ 368.20M£ 404.20M£ 328.20M£ 149.70M
Cash Flow
Free Cash Flow£ 177.60M£ 139.50M£ 20.30M£ 148.60M£ 128.80M
Operating Cash Flow£ 196.30M£ 167.90M£ 71.70M£ 173.60M£ 146.10M
Investing Cash Flow£ -15.30M£ -25.50M£ -52.20M£ -25.00M£ -17.30M
Financing Cash Flow£ -134.20M£ -185.90M£ -92.30M£ -36.20M£ -120.10M
Currency in GBP

Dr. Martens Plc Earnings and Revenue History

Dr. Martens Plc Debt to Assets

Dr. Martens Plc Cash Flow

Dr. Martens Plc Forecast EPS vs Actual EPS

What am I Missing?
Make informed decisions based on Top Analysts' activity
Know what industry insiders are buying
Get actionable alerts from top Wall Street Analysts
Find out before anyone else which stock is going to shoot up
Get powerful stock screeners & detailed portfolio analysis