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  • Price (EUR)--
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  • Shares traded0.00
  • 1 Year change--
  • Beta--
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Inc stmt in EURIncome statement in EURView more

Year on year Clearvise AG's revenues fell -31.18% from 65.16m to 44.84m. This along with an increase in the cost of goods sold expense has contributed to a reduction in net income from 21.32m to 6.84m, a -67.93% decrease.
Gross margin93.90%
Net profit margin15.29%
Operating margin34.29%
Return on assets--
Return on equity--
Return on investment--
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Cash flow in EURView more

In 2023, cash reserves at Clearvise AG fell by 29.68m. However, the company earned 16.57m from its operations for a Cash Flow Margin of 36.94%. In addition the company generated 9.21m cash from investing, though they paid out 55.45m more in financing than they received.
Cash flow per share0.3106
Price/Cash flow per share5.63
Book value per share2.14
Tangible book value per share2.14
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Balance sheet in EURView more

Clearvise AG has a Debt to Total Capital ratio of 14.08%.
Current ratio1.35
Quick ratio--
Total debt/total equity0.1639
Total debt/total capital0.1408
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