Equities

Veom Group SA

Veom Group SA

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  • Price (EUR)--
  • Today's Change--
  • Shares traded--
  • 1 Year change--
  • Beta--
Data delayed at least 20 minutes, as of Feb 06 2020.
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Inc stmt in EURIncome statement in EURView more

Year on year Veom Group SA's revenues fell -11.39% from 28.23m to 25.02m. This along with an increase in selling, general and administrative costs has contributed to a reduction in net income from a gain of 3.62m to a loss of 2.84m.
Gross margin43.60%
Net profit margin-12.21%
Operating margin-11.38%
Return on assets-10.79%
Return on equity-1,484.21%
Return on investment-24.10%
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Cash flow in EURView more

In 2023, cash reserves at Veom Group SA fell by 4.28m. In addition, the company used more cash to support its operations than it earned, posting a cash flow loss of 313.00k. In addition the company used 1.70m on investing activities and also paid 2.27m in financing cash flows.
Cash flow per share0.0498
Price/Cash flow per share6.11
Book value per share-0.0425
Tangible book value per share-1.13
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Balance sheet in EURView more

Veom Group SA has a Debt to Total Capital ratio of 99.11%, a lower figure than the previous year's 1,871.25%.
Current ratio0.8192
Quick ratio0.333
Total debt/total equity--
Total debt/total capital0.9911
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