Lisbon - Delayed Quote EUR

Futebol Clube do Porto - Futebol, S.A.D. (FCP.LS)

Compare
1.1400
+0.0100
+(0.88%)
At close: 3:30 PM GMT
Currency in EUR All numbers in thousands
Breakdown
TTM
6/30/2023
6/30/2022
6/30/2021
6/30/2020
Total Revenue
163,731.8060
163,731.8060
142,547.4550
151,882.7190
86,810.7180
Cost of Revenue
5,884.6140
5,884.6140
5,265.0220
3,648.4110
3,210.0050
Gross Profit
157,847.1920
157,847.1920
137,282.4330
148,234.3080
83,600.7130
Operating Expense
190,880.8960
190,880.8960
172,213.2950
165,772.6040
179,266.7730
Operating Income
-33,033.7040
-33,033.7040
-34,930.8620
-17,538.2960
-95,666.0600
Net Non Operating Interest Income Expense
-22,591.7410
-22,591.7410
-21,210.9540
-22,503.7320
-20,531.7490
Pretax Income
-47,092.9780
-47,092.9780
21,561.1870
20,007.4320
-115,596.2620
Tax Provision
946.5230
946.5230
735.1910
1,183.7170
563.3880
Net Income Common Stockholders
-47,627.0560
-47,627.0560
20,764.6940
19,274.7900
-115,939.6140
Diluted NI Available to Com Stockholders
-47,627.0560
-47,627.0560
20,764.6940
19,274.7900
-115,939.6140
Basic EPS
-2.12
-2.12
0.92
0.86
-5.15
Diluted EPS
-2.12
-2.12
0.92
0.86
-5.15
Basic Average Shares
22,500.0000
22,500.0000
22,500.0000
22,500.0000
22,500.0000
Diluted Average Shares
22,500.0000
22,500.0000
22,500.0000
22,500.0000
22,500.0000
Total Operating Income as Reported
-24,186.6030
-24,186.6030
43,714.0450
42,567.5320
-96,077.4060
Rent Expense Supplemental
1,430.5550
1,430.5550
1,401.3450
1,105.5860
1,343.1400
Total Expenses
196,765.5100
196,765.5100
177,478.3170
169,421.0150
182,476.7780
Net Income from Continuing & Discontinued Operation
-47,627.0560
-47,627.0560
20,764.6940
19,274.7900
-115,939.6140
Normalized Income
-50,943.8046
-50,943.8046
-60,847.5318
-34,749.3023
-117,986.5261
Interest Income
2,548.1070
2,548.1070
4,566.7110
2,400.7770
2,230.9640
Interest Expense
22,754.7800
22,754.7800
23,421.4790
23,754.1030
21,507.9090
Net Interest Income
-22,591.7410
-22,591.7410
-21,210.9540
-22,503.7320
-20,531.7490
EBIT
-24,338.1980
-24,338.1980
44,982.6660
43,761.5350
-94,088.3530
EBITDA
17,822.2160
17,822.2160
85,215.5070
80,004.2550
-42,456.7330
Reconciled Cost of Revenue
5,884.6140
5,884.6140
5,265.0220
3,648.4110
3,210.0050
Reconciled Depreciation
42,160.4140
42,160.4140
40,232.8410
36,242.7200
51,631.6200
Net Income from Continuing Operation Net Minority Interest
-47,627.0560
-47,627.0560
20,764.6940
19,274.7900
-115,939.6140
Total Unusual Items Excluding Goodwill
4,198.4160
4,198.4160
84,493.2680
57,421.3620
2,591.0280
Total Unusual Items
4,198.4160
4,198.4160
84,493.2680
57,421.3620
2,591.0280
Normalized EBITDA
13,623.8000
13,623.8000
722.2390
22,582.8930
-45,047.7610
Tax Rate for Calcs
0.0002
0.0002
0.0000
0.0001
0.0002
Tax Effect of Unusual Items
881.6674
881.6674
2,881.0422
3,397.2697
544.1159
6/30/2020 - 1/3/2000

Upgrade to begin using 40 years of financial statements and get so much more.

Perform in-depth fundamental analysis with decades of income statements, balance sheets, and cash flows — all exportable.

Upgrade

Related Tickers