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Safilo Group SpA (IT:SFL)
:SFL
Italy Market

Safilo Group SpA (SFL) Financial Statements

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Safilo Group SpA Financial Overview

Safilo Group SpA's market cap is currently €804.73M. The company's EPS TTM is €0.101; its P/E ratio is 17.47; Safilo Group SpA is scheduled to report earnings on July 31, 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€ 993.22M€ 1.02B€ 1.08B€ 969.58M€ 780.30M
Gross Profit€ 561.73M€ 601.74M€ 597.45M€ 445.64M€ 305.25M
Operating Income€ 48.23M€ 7.66M€ 48.46M€ 26.07M€ -83.42M
EBITDA€ 90.49M€ 56.35M€ 129.10M€ 109.37M€ -16.27M
Net Income€ 22.30M€ -24.65M€ 54.16M€ 21.27M€ -72.97M
Balance Sheet
Cash & Short-Term Investments€ 47.42M€ 74.90M€ 77.71M€ 99.00M€ 88.97M
Total Assets€ 842.34M€ 855.46M€ 960.27M€ 937.77M€ 913.92M
Total Debt€ 140.54M€ 157.60M€ 191.11M€ 192.96M€ 311.04M
Net Debt€ 93.12M€ 82.70M€ 113.40M€ 93.96M€ 222.07M
Total Liabilities€ 414.88M€ 459.68M€ 521.35M€ 571.68M€ 727.55M
Stockholders' Equity€ 413.07M€ 379.20M€ 409.92M€ 326.74M€ 143.25M
Cash Flow
Free Cash Flow€ 64.65M€ 34.50M€ -6.71M€ -2.66M€ -23.38M
Operating Cash Flow€ 76.22M€ 47.71M€ 9.16M€ 17.30M€ 885.00K
Investing Cash Flow€ -48.87M€ -8.65M€ -15.67M€ -9.76M€ -133.20M
Financing Cash Flow€ -54.83M€ -40.47M€ -16.81M€ 2.07M€ 168.89M
Currency in EUR

Safilo Group SpA Earnings and Revenue History

Safilo Group SpA Debt to Assets

Safilo Group SpA Cash Flow

Safilo Group SpA Forecast EPS vs Actual EPS