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KPIsSections10
| Revenue — GREEN | €531.6M | +196.7% YoY |
|---|---|---|
| Net income — GREEN | €59.8M | |
| Net margin — GREEN | 11.3% | |
| Operating margin — GREEN | 22.5% |
Red flags1 red
Liquidity1
RED
Cash runway ~1.3 years
cash_runway_lowAt current burn rate, cash covers less than 2 years — may require near-term financing.
Income Statement
| Metric | Value | Flag |
|---|---|---|
| Revenue | €531.6M | GREEN |
| Operating Margin | 22.5% | GREEN |
| Net Margin | 11.3% | GREEN |
| Operating Income | €119.7M | GREEN |
| Net Income | €59.8M | GREEN |
| EBITDA | €144.0M | GREEN |
| Income Tax Expense | €15.0M | GREEN |
| Pre-tax Income | €74.6M | GREEN |
| Interest Expense | €45.1M | GREEN |
| Depreciation & Amort (Supplemental) | €24.2M | GREEN |
| Interest and Investment Income | €1.4M | GREEN |
| Currency Exchange Gains (Loss) | -€255,000 | GREEN |
| Other Non Operating Income (Expenses) | €2.6M | GREEN |
| Asset Writedown | -€17.2M | GREEN |
| Earnings from Continuing Operations | €118.6M | GREEN |
Balance Sheet
| Metric | Value | Flag |
|---|---|---|
| Total Assets | €1.88B | GREEN |
| Current Assets | €666.0M | GREEN |
| Current Liabilities | €618.8M | GREEN |
| Total Liabilities | €1.40B | GREEN |
| Total Equity | €473.5M | GREEN |
| Noncontrolling Interest | -€430,000 | GREEN |
| Cash & Equivalents | €374.0M | GREEN |
| Long-term Debt | €713.6M | GREEN |
| Short-term Debt | €304.4M | GREEN |
| Trade Receivables | €45.4M | GREEN |
| Short Term Investments | €1.0M | GREEN |
| Inventory | €196.8M | GREEN |
| Other Current Assets | €31,000 | GREEN |
| Gross Property, Plant & Equipment | €920.3M | GREEN |
| Goodwill | €5.7M | GREEN |
| Other Intangibles | €6.3M | GREEN |
| Other Long-Term Assets | €1.2M | GREEN |
| Common Stock | €10.3M | GREEN |
| Additional Paid In Capital | €198.9M | GREEN |
| Comprehensive Income and Other | €136.3M | GREEN |
Cash Flow
| Metric | Value | Flag |
|---|---|---|
| Operating Cash Flow | €350.7M | GREEN |
| Capital Expenditures | €648.8M | GREEN |
| Investing Cash Flow | €301.3M | GREEN |
| Depreciation & Amortization | €24.2M | GREEN |
| Free Cash Flow | -€298.0M | GREEN |
| Financing Cash Flow | €219.1M | GREEN |
| Asset Writedown & Restructuring Costs | €17.2M | GREEN |
| Change in Accounts Receivable | -€29.8M | GREEN |
| Change in Inventories | -€26.3M | GREEN |
| Change in Income Taxes | -€8.9M | GREEN |
| Short Term Debt Issued | €264.9M | GREEN |
| Long Term Debt Issued | €81.8M | GREEN |
| Long Term Debt Repaid | €146.2M | GREEN |
| Repurchase of Common Stock | €33.7M | GREEN |
| Foreign Exchange Rate Effect | €16.0M | GREEN |
| Net Change in Cash | €252.5M | GREEN |
| Cash Interest Paid | €45.1M | GREEN |
Sections in this filing
IFRS Compliance
Las cuentas anuales consolidadas de Grenergy del ejercicio 20 24 han sido preparadas a FORMULACIÓN DE LAS CUENTAS ANUALES CONSOLIDAD AS Y DEL INFORME DE