Jun 21 | Dec 20 | Sep 20 | Jun 20 | Mar 20 | |
---|---|---|---|---|---|
Income Statement | - | ||||
Total Revenue | € 52.81M | € 65.00M | € 68.26M | € 68.44M | € 68.09M |
Gross Profit | € 37.67M | € 45.84M | € 51.02M | € 52.94M | € 49.79M |
EBIT | € 88.11M | € 43.14M | € 299.69M | € 197.40M | € 152.82M |
EBITDA | € 88.59M | € 43.64M | € 300.19M | € 197.86M | € 153.24M |
Net Income Common Stockholders | € 68.08M | € 50.75M | € 177.15M | € 138.03M | € 104.92M |
Balance Sheet | - | ||||
Cash, Cash Equivalents and Short-Term Investments | € 609.92M | € 524.13M | € 638.14M | € 243.31M | € 523.39M |
Total Assets | € 6.28B | € 6.65B | € 6.90B | € 6.99B | € 7.05B |
Total Debt | € 644.75M | € 898.21M | € 979.78M | € 2.38B | € 2.62B |
Net Debt | € 34.83M | € 374.08M | € 341.64M | € 2.14B | € 2.10B |
Total Liabilities | € 2.86B | € 3.21B | € 3.38B | € 3.31B | € 3.50B |
Stockholders Equity | € 3.40B | € 3.41B | € 3.50B | € 3.66B | € 3.53B |
Cash Flow | - | ||||
Free Cash Flow | - | € 23.08M | € 30.28M | € 16.48M | € 30.04M |
Operating Cash Flow | - | € 23.31M | € 30.62M | € 16.85M | € 30.36M |
Investing Cash Flow | - | € 149.54M | € 309.54M | € -58.78M | € -29.57M |
Financing Cash Flow | - | € -215.29M | € -16.31M | € -238.16M | € -2.03M |