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SIG Group AG (SCBGF)
OTHER OTC:SCBGF
US Market

SIG Group AG (SCBGF) Financial Statements

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SIG Group AG Financial Overview

SIG Group AG's market cap is currently $5.82B. The company's EPS TTM is $0.42870567600000004; its P/E ratio is -53.16; and it has a dividend yield of 4.07%. SIG Group AG is scheduled to report earnings on March 3, 2026, and the estimated EPS forecast is $―. See an overview of income statement, balance sheet, and cash flow financials.
Dec 25Dec 24Dec 23Dec 22Dec 21
Income Statement
Total Revenue€ 3.27B€ 3.33B€ 3.23B€ 2.78B€ 2.06B
Gross Profit€ 770.70M€ 771.20M€ 761.40M€ 575.20M€ 484.60M
Operating Income€ 422.14M€ 424.10M€ 449.10M€ 159.00M€ 255.80M
EBITDA€ 764.96M€ 824.10M€ 851.20M€ 502.20M€ 565.50M
Net Income€ -87.57M€ 194.50M€ 243.20M€ 37.80M€ 172.10M
Balance Sheet
Cash & Short-Term Investments€ 354.02M€ 287.80M€ 280.90M€ 490.00M€ 300.20M
Total Assets€ 7.07B€ 7.69B€ 7.53B€ 7.80B€ 5.49B
Total Debt€ 2.49B€ 2.47B€ 2.45B€ 2.67B€ 1.72B
Net Debt€ 2.14B€ 2.18B€ 2.18B€ 2.18B€ 1.42B
Total Liabilities€ 4.41B€ 4.56B€ 4.44B€ 4.74B€ 3.17B
Stockholders' Equity€ 2.66B€ 3.13B€ 3.10B€ 3.06B€ 2.33B
Cash Flow
Free Cash Flow€ 235.43M€ 339.20M€ 264.40M€ 278.50M€ 285.00M
Operating Cash Flow€ 522.59M€ 649.20M€ 663.30M€ 578.20M€ 530.90M
Investing Cash Flow€ -270.35M€ -307.80M€ -395.90M€ -917.90M€ -303.80M
Financing Cash Flow€ -184.30M€ -320.20M€ -476.50M€ 538.80M€ -293.60M
Currency in EUR

SIG Group AG Earnings and Revenue History

SIG Group AG Debt to Assets

SIG Group AG Cash Flow

SIG Group AG Forecast EPS vs Actual EPS