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Fragbite Group AB (SE:FRAG)
:FRAG
Sweden Market

Fragbite Group AB (FRAG) Financial Statements

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Fragbite Group AB Financial Overview

Fragbite Group AB's market cap is currently €46.83M. The company's EPS TTM is kr-6.383; its P/E ratio is ―; Fragbite Group AB is scheduled to report earnings on February 20, 2025, and the estimated EPS forecast is kr―. See an overview of income statement, balance sheet, and cash flow financials.
Dec 24Dec 23Dec 22Dec 21Dec 20
Income Statement
Total Revenuekr 265.09Mkr 237.20Mkr 254.06Mkr 124.04Mkr 4.60M
Gross Profitkr 118.36Mkr 103.94Mkr 72.70Mkr 42.78Mkr 6.42M
Operating Incomekr 2.62Mkr -96.73Mkr -83.22Mkr -45.75Mkr -22.34M
EBITDAkr 7.79Mkr 8.88Mkr 11.91Mkr -10.48Mkr -13.44M
Net Incomekr -128.98Mkr -53.15Mkr -103.11Mkr -50.40Mkr -22.80M
Balance Sheet
Cash & Short-Term Investmentskr 9.41Mkr 25.05Mkr 40.99Mkr 87.46Mkr 4.86M
Total Assetskr 193.06Mkr 984.52Mkr 383.00Mkr 304.26Mkr 72.26M
Total Debtkr 29.18Mkr 40.40Mkr 56.85Mkr 46.49Mkr 0.00
Net Debtkr 19.77Mkr 15.34Mkr 15.86Mkr -40.97Mkr -4.86M
Total Liabilitieskr 112.17Mkr 838.45Mkr 221.49Mkr 101.00Mkr 4.60M
Stockholders' Equitykr 80.89Mkr 146.07Mkr 161.51Mkr 203.25Mkr 67.66M
Cash Flow
Free Cash Flowkr -19.36Mkr -35.27Mkr 7.18Mkr -3.42Mkr -17.60M
Operating Cash Flowkr -9.01Mkr -1.42Mkr 43.10Mkr 3.93Mkr -10.36M
Investing Cash Flowkr -44.04Mkr -55.08Mkr -141.24Mkr -73.01Mkr 3.05M
Financing Cash Flowkr 37.28Mkr 40.27Mkr 47.73Mkr 151.56Mkr 10.71M
Currency in SEK

Fragbite Group AB Earnings and Revenue History

Fragbite Group AB Debt to Assets

Fragbite Group AB Cash Flow

Fragbite Group AB Forecast EPS vs Actual EPS

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