Frankfurt - Delayed Quote EUR

OVH Groupe S.A. (7U70.F)

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3.6000 0.0000 (0.00%)
As of November 15 at 3:29 PM GMT+1. Market Open.
Currency in EUR All numbers in thousands
Breakdown
TTM
8/31/2024
8/31/2023
8/31/2022
8/31/2021
Total Revenue
993,053.0000
993,053.0000
897,299.0000
787,998.0000
663,312.0000
Cost of Revenue
--
375,555.0000
354,897.0000
366,140.0000
318,053.0000
Gross Profit
--
617,498.0000
542,402.0000
421,858.0000
345,259.0000
Operating Expense
964,161.0000
566,768.0000
523,488.0000
400,095.0000
315,504.0000
Operating Income
28,892.0000
50,730.0000
18,914.0000
21,763.0000
29,755.0000
Net Non Operating Interest Income Expense
-32,092.0000
-41,433.0000
-34,472.0000
-18,930.0000
-38,310.0000
Pretax Income
-6,394.0000
-6,394.0000
-40,409.0000
-19,790.0000
-22,104.0000
Tax Provision
3,903.0000
3,903.0000
-89.0000
8,764.0000
10,240.0000
Net Income Common Stockholders
-10,297.0000
-10,297.0000
-40,320.0000
-28,554.0000
-32,344.0000
Diluted NI Available to Com Stockholders
-10,297.0000
-10,297.0000
-40,320.0000
-28,554.0000
-32,344.0000
Basic EPS
-0.03
--
-0.10
-0.07
-0.10
Diluted EPS
-0.03
--
-0.10
-0.07
-0.10
Basic Average Shares
379,240.0000
--
379,240.0000
380,720.0000
327,948.0000
Diluted Average Shares
379,240.0000
--
379,240.0000
380,720.0000
327,948.0000
Total Operating Income as Reported
25,698.0000
25,698.0000
-11,996.0000
8,363.0000
6,510.0000
Rent Expense Supplemental
--
31,476.0000
30,728.0000
28,574.0000
18,734.0000
Total Expenses
964,161.0000
942,323.0000
878,385.0000
766,235.0000
633,557.0000
Net Income from Continuing & Discontinued Operation
-10,297.0000
-10,297.0000
-40,320.0000
-28,554.0000
-32,344.0000
Normalized Income
-7,900.7500
-571.7500
-21,754.9793
-8,976.7500
-26,330.9650
Interest Income
9,507.0000
2,334.0000
541.0000
881.0000
220.0000
Interest Expense
30,096.0000
31,701.0000
22,710.0000
12,354.0000
31,588.0000
Net Interest Income
-32,092.0000
-41,433.0000
-34,472.0000
-18,930.0000
-38,310.0000
EBIT
23,702.0000
25,307.0000
-17,699.0000
-7,436.0000
9,484.0000
EBITDA
366,761.0000
368,366.0000
301,450.0000
261,269.0000
233,526.0000
Reconciled Cost of Revenue
--
375,555.0000
354,897.0000
366,140.0000
318,053.0000
Reconciled Depreciation
343,059.0000
343,058.0000
319,149.0000
268,705.0000
224,042.0000
Net Income from Continuing Operation Net Minority Interest
-10,297.0000
-10,297.0000
-40,320.0000
-28,554.0000
-32,344.0000
Total Unusual Items Excluding Goodwill
-3,195.0000
-12,967.0000
-18,606.0000
-26,103.0000
-8,181.0000
Total Unusual Items
-3,195.0000
-12,967.0000
-18,606.0000
-26,103.0000
-8,181.0000
Normalized EBITDA
369,956.0000
381,333.0000
320,056.0000
287,372.0000
241,707.0000
Tax Rate for Calcs
0.0003
0.0003
0.0000
0.0003
0.0003
Tax Effect of Unusual Items
-798.7500
-3,241.7500
-40.9793
-6,525.7500
-2,167.9650
8/31/2021 - 11/15/2022

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