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Euronext NV (GB:0QVJ)
LSE:0QVJ
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Euronext NV (0QVJ) Financial Statements

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Euronext NV Financial Overview

Euronext NV's market cap is currently ―. The company's EPS TTM is €5.485; its P/E ratio is 19.13; and it has a dividend yield of 2.38%. Euronext NV is scheduled to report earnings on February 13, 2025, and the estimated EPS forecast is €1.53. See an overview of income statement, balance sheet, and cash flow financials.
Dec 22Sep 22Jun 22Mar 22Dec 21
Income Statement-
Total Revenue€ 1.11B€ -464.75M€ 370.35M€ 395.70M€ 938.55M
Gross Profit€ 858.76M€ -474.38M€ 373.38M€ 285.10M€ 715.18M
EBIT€ 541.97M€ -275.73M€ 175.83M€ 209.50M€ 458.85M
EBITDA€ 663.36M€ -315.69M€ 214.39M€ 249.70M€ 554.92M
Net Income Common Stockholders€ 362.03M€ -186.91M€ 118.91M€ 143.80M€ 297.54M
Balance Sheet-
Cash, Cash Equivalents and Short-Term Investments€ 168.01B€ 158.96B€ 169.75B€ 168.59B€ 138.71B
Total Assets€ 175.14B€ 166.08B€ 177.08B€ 175.93B€ 145.91B
Total Debt€ 3.09B€ 3.09B€ 3.09B€ 3.13B€ 3.13B
Net Debt€ -164.91B€ -155.87B€ -166.67B€ -165.46B€ -135.58B
Total Liabilities-----
Stockholders Equity€ 3.91B€ 3.79B€ 3.70B€ 3.81B€ 3.65B
Cash Flow-
Free Cash Flow€ 226.87M€ -114.50M€ 53.01M€ 351.60M€ 284.32M
Operating Cash Flow€ 298.39M€ -127.33M€ 76.83M€ 368.60M€ 330.21M
Investing Cash Flow€ -102.17M€ 10.18M€ -11.48M€ -25.00M€ -4.19B
Financing Cash Flow€ -267.18M€ 248.56M€ -251.36M€ -6.50M€ 3.85B
Currency in EUR

Euronext NV Earnings and Revenue History

Euronext NV Debt to Assets

Euronext NV Cash Flow

Euronext NV Forecast EPS vs Actual EPS

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