Kreate Group Oyj Logo

Kreate Group Oyj (16T)

FSX

Currency in EUR
38.80
-1.70 (-4.20%)

Real-time Data

06:00 AM

Day's Range

38.80
38.80

52 wk Range

9.60
41.40

Financial Statements - 16T - Kreate Group Oyj

Revenue

315.23M▲ 14.4%

Net Income

6.66M▲ 44.7%Net Margin 2.1%

EBITDA

18.14M▲ 22.4%

Free Cash Flow

36.42M▲ 687.9%

Income Statement

Period Ending2025-12-312024-12-312023-12-312022-12-312021-12-312020-12-31
Sales315.23M275.47M320M273.87M237.62M235.30M
Cost of Goods227.36M203.58M251.10M216.63M181.94M180.64M
Gross Profit87.87M71.88M68.90M57.24M55.68M54.65M
ExpandOperating Expense
------
Operating Income9.11M8.29M7M7.90M9.77M9.14M
ExpandNon-Operating Interest
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Other Income Expense------
Pre Tax Income8.41M5.89M4.60M6.71M8.22M9.26M
Income Tax1.74M1.28M700K1.07M1.31M1.49M
Net Income6.66M4.60M3.90M5.63M6.91M7.76M
EPS Basic0.720.50.440.640.80.878404
EPS Diluted0.710.490.440.630.80.878404
Basic Shares Outstanding8.75M8.74M8.83M9.03M8.64M8.83M
Diluted Shares Outstanding8.75M8.74M8.83M9.03M8.64M8.83M
Ebit10.23M8.24M7.60M7.80M10.36M10.43M
Ebitda18.14M14.82M14M12.77M14.21M14.10M
Net Income Continuous Operations6.66M4.60M3.90M5.63M6.91M7.76M
Minority Interests-368K-235K-200K142K--
Preferred Stock Dividends000000

The information on this page is provided for general informational purposes only and is not investment advice.

Market data provided by Twelve Data. Charting by TradingView.

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