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Dr. Martens Plc (DE:3U2)
FRANKFURT:3U2
Germany Market

Dr. Martens Plc (3U2) Financial Statements

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Dr. Martens Plc Financial Overview

Dr. Martens Plc's market cap is currently €763.99M. The company's EPS TTM is €-0.010264724999999999; its P/E ratio is 38.97; Dr. Martens Plc is scheduled to report earnings on November 20, 2025, and the estimated EPS forecast is €0.05. See an overview of income statement, balance sheet, and cash flow financials.
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Income Statement
Total Revenue£ 787.60M£ 877.10M£ 1.00B£ 908.30M£ 773.00M
Gross Profit£ 511.70M£ 575.20M£ 618.10M£ 578.80M£ 470.50M
Operating Income£ 56.10M£ 126.40M£ 180.80M£ 228.10M£ 112.50M
EBITDA£ 110.50M£ 196.30M£ 235.00M£ 265.10M£ 143.30M
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£ 652.80M
Total Debt£ 404.10M£ 477.00M£ 451.80M£ 393.80M£ 366.40M
Net Debt£ 248.20M£ 365.90M£ 294.30M£ 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£ 150.70M
Cash Flow
Free Cash Flow£ 177.60M£ 139.50M£ 25.90M£ 159.40M£ 99.50M
Operating Cash Flow£ 196.30M£ 167.90M£ 77.30M£ 184.40M£ 121.40M
Investing Cash Flow£ -15.30M£ -25.50M£ -50.60M£ -25.00M£ -21.90M
Financing Cash Flow£ -134.20M£ -185.90M£ -99.50M£ -47.00M£ -44.00M
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