True Corporation Public Company Limited Logo

True Corporation Public Company Limited (TAF0)

Munich

Currency in EUR
0.3460
0.00 (0.00%)

Closed

Aug 26, 2026

Day's Range

0.3460
0.3460

52 wk Range

0.2400
0.4120

Financial Statements - TAF0 - True Corporation Public Company Limited

Revenue

195.66B 5.0%

Net Income

9.11B 183.2%Net Margin 4.7%

EBITDA

95.92B 19.4%

Free Cash Flow

20.43B 38.3%

Income Statement

Period Ending2025-12-312024-12-312022-12-312021-12-312020-12-312019-12-31
Sales195.66B206.02B135.07B143.65B138.21B140.94B
Cost of Goods130.06B145.06B103.48B105.47B100.63B107.41B
Gross Profit65.60B60.95B31.59B38.18B37.57B33.53B
ExpandOperating Expense
------
Operating Income36.41B28.95B2.21B12.41B10.64B5.30B
ExpandNon-Operating Interest
------
Other Income Expense-9.19B-17.30B-709.16M5.56B8.66B12.12B
Pre Tax Income6.95B-10.77B-17.97B-1.36B944.31M7.74B
Income Tax-2.16B181.52M415.23M154.86M18.76M2.17B
Net Income9.11B-10.95B-18.39B-1.52B925.55M5.57B
EPS Basic0.27-0.32-0.55-0.040.030.17
EPS Diluted0.27-0.32-0.55-0.040.030.17
Basic Shares Outstanding34.55B34.55B1.17T1.17T1.17T1.17T
Diluted Shares Outstanding34.55B34.55B1.17T1.17T1.17T1.17T
Ebit25.22B9.06B-1.36B14.73B16.61B15.23B
Ebitda95.92B80.34B52.66B62.92B62.48B44.43B
Net Income Continuous Operations6.95B-10.77B-17.97B-1.36B944.31M7.74B
Minority Interests128.97M-12.14M109.18M93.11M122.84M63.71M
Preferred Stock Dividends------

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

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