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Esprinet Spa (IT:PRT)
:PRT
US Market

Esprinet Spa (PRT) Financial Statements

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Esprinet Spa Financial Overview

Esprinet Spa's market cap is currently €305.07M. The company's EPS TTM is €0.056; its P/E ratio is 14.69; and it has a dividend yield of 6.66%. Esprinet Spa is scheduled to report earnings on November 12, 2025, and the estimated EPS forecast is €―. See an overview of income statement, balance sheet, and cash flow financials.
Dec 24Dec 23Dec 22Dec 21Dec 20
Income Statement
Total Revenue€ 4.14B€ 3.99B€ 4.68B€ 4.69B€ 4.49B
Gross Profit€ 226.94M€ 218.44M€ 242.97M€ 231.89M€ 193.67M
Operating Income€ -46.23M€ 14.01M€ 70.66M€ 68.41M€ 47.65M
EBITDA€ 68.82M€ 35.82M€ 86.93M€ 83.05M€ 62.10M
Net Income€ 21.52M€ -11.88M€ 47.35M€ 44.18M€ 31.41M
Balance Sheet
Cash & Short-Term Investments€ 216.35M€ 261.00M€ 172.19M€ 491.47M€ 558.93M
Total Assets€ 2.02B€ 1.84B€ 1.87B€ 1.92B€ 1.82B
Total Debt€ 262.28M€ 249.00M€ 265.68M€ 273.81M€ 265.98M
Net Debt€ 46.03M€ -11.88M€ 93.50M€ -217.66M€ -292.94M
Total Liabilities€ 1.63B€ 1.47B€ 1.47B€ 1.54B€ 1.43B
Stockholders' Equity€ 389.25M€ 367.41M€ 409.22M€ 386.12M€ 386.87M
Cash Flow
Free Cash Flow€ -3.20M€ 154.55M€ -263.84M€ 15.81M€ 70.63M
Operating Cash Flow€ 2.77M€ 168.04M€ -251.41M€ 21.65M€ 77.61M
Investing Cash Flow€ -5.61M€ -19.95M€ -19.06M€ -17.02M€ -44.29M
Financing Cash Flow€ -41.80M€ -59.39M€ -48.82M€ -72.09M€ 61.83M
Currency in EUR

Esprinet Spa Earnings and Revenue History

Esprinet Spa Debt to Assets

Esprinet Spa Cash Flow

Esprinet Spa Forecast EPS vs Actual EPS