Cimpress plc Logo

Cimpress plc (3UF)

FSX

Currency in EUR
69.95
+0.35 (+0.50%)

Closed

Sep 29, 2026

Day's Range

69.95
69.95

52 wk Range

52.50
91.35

Financial Statements - 3UF - Cimpress plc

Revenue

3.73B▲ 9.8%

Net Income

97.11M▲ 655.6%Net Margin 2.6%

EBITDA

411.46M▲ 10.2%

Free Cash Flow

116.41M▼ 19.7%

Income Statement

Period Ending2026-06-302025-06-302024-06-302023-06-302022-06-302021-06-30
Sales3.73B3.40B3.29B3.07B2.88B2.57B
Cost of Goods2B1.78B1.69B1.64B1.49B1.29B
Gross Profit1.72B1.61B1.59B1.43B1.39B1.27B
ExpandOperating Expense
------
Operating Income257.28M231.79M247.77M106.67M60.90M125.15M
ExpandNon-Operating Interest
------
Other Income Expense1.35M-19.60M494K-24.10M47.86M-69.33M
Pre Tax Income152.89M96.95M128.44M-30.22M9.33M-63.55M
Income Tax55.77M84.10M-49.36M155.49M59.90M18.90M
Net Income97.11M12.85M177.80M-185.71M-50.57M-82.45M
EPS Basic3.93-6.64-7.08-2.08-3.28
EPS Diluted3.79-6.43-7.08-2.08-3.28
Basic Shares Outstanding24.42M-26.15M26.95M26.79M26.69M
Diluted Shares Outstanding24.42M-26.15M26.95M26.79M26.69M
Ebit258.64M212.19M248.26M82.57M108.76M55.81M
Ebitda411.46M373.28M400.02M267.94M239.65M298.73M
Net Income Continuous Operations97.11M12.85M177.80M-185.71M-50.57M-82.45M
Minority Interests-1.24M2.10M-4.12M-263K-3.76M-2.77M
Preferred Stock Dividends------

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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