CDROW Financials
Codere Online Luxembourg, S.A. - Financial statements & key metrics
Stock Price
$0.75
Market Cap
-
EPS
$-428.55
Income Statement Highlights
Most Recent Quarter: 2024-12-31
Revenue
$200.70M
Gross Profit
$192.97M
Operating Income
$4.33M
Net Income
$3.91M
EPS (Diluted)
$-
Balance Sheet Highlights
Total Assets
$74.54M
Total Liabilities
$50.32M
Shareholders Equity
$24.07M
Cash & Equivalents
$40.31M
Total Debt
-
Cash Flow Highlights
Operating Cash Flow
$3.94M
CapEx
$256000
Free Cash Flow
$3.69M
Profitability Metrics
Gross Margin
91.2%
Operating Margin
0.0%
Net Margin
0.0%
ROE
0.1%
View Complete Financial Statements
Full income statements, balance sheets, and cash flows for multiple periods
Open Full FinancialsFrequently Asked Questions
What is CDROW revenue?
CDROW's most recent quarterly revenue was $200.70M. Annual revenue can be calculated by summing the four most recent quarters.
Is CDROW profitable?
CDROW reported a profit of $3.91M in the most recent quarter. The net profit margin is 0.0%.
What is CDROW market cap?
Market cap data for CDROW is available above.
Does CDROW have debt?
View CDROW's balance sheet for debt information.
What is CDROW cash flow?
CDROW's most recent quarterly free cash flow was $3.69M.