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Cafom Sa

Cafom Sa (0HRB)

9.20
0.00
(0.00%)
Closed March 29 12:30PM

Income Statement

Balance Sheet

Cash Flow

Year End September 29 2024 20172018201920202021202220232024
EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)
Total Assets 342.16M348.09M347.4M452.26M420.18M417.34M414.68M402.69M
Total Current Assets 175.38M182.72M222.53M238.38M161.6M174.4M172.2M174.64M
Cash and Equivalents 9.11M17.2M15.32M34.96M26.8M28.16M42.4M33.46M
Total Non-Current Assets 121.31M130.86M107.05M98.6M111.27M126.26M139.35M152.17M
Total Liabilities 220.84M217.23M240.35M353.66M308.91M291.08M275.33M250.52M
Total Current Liabilities 176.44M165.41M178.72M201.18M139.05M137.82M132.8M138.41M
Total Non-Current Liabilities 70.97M75.89M97.39M276.58M309.42M283.42M261.35M198.23M
Total Equity 121.31M130.86M107.05M98.6M111.27M126.26M139.35M152.17M
Common Equity 43.49M43.49M47.91M47.91M47.91M47.91M47.91M47.91M
Retained Earnings -485k-17.2M-20.77M-11.3M8.48M10.67M9.36M14.96M