Cofle S.p.A.

CFL.MI · MIL
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12/31/2024
12/31/2023
12/31/2022
12/31/2021
Revenue€60,600€62,317€56,708€53,852
% Growth-2.8%9.9%5.3%
Cost of Goods Sold€34,721€35,190€31,094€27,754
Gross Profit€1,989€27,127€25,613€26,099
% Margin3.3%43.5%45.2%48.5%
R&D Expenses€575€422€0€0
G&A Expenses€0€0€0€0
SG&A Expenses€21,007€0€2,108€1,901
Sales & Mktg Exp.€0€0€0€0
Other Operating Expenses€0€16,090€15,068€10,551
Operating Expenses€21,582€16,511€17,176€12,452
Operating Income-€356€6,705€8,437€10,406
% Margin-0.6%10.8%14.9%19.3%
Other Income/Exp. Net-€5,032€0-€3,896€1,148
Pre-Tax Income-€5,388€1,378€4,542€11,555
Tax Expense€184€593€1,894€2,280
Net Income-€5,296€360€2,288€8,242
% Margin-8.7%0.6%4%15.3%
EPS-0.860.0590.371.53
% Growth-1,570.1%-84.2%-75.8%
EPS Diluted-0.860.0590.371.53
Weighted Avg Shares Out6,1566,1466,1565,404
Weighted Avg Shares Out Dil6,1566,1466,1565,404
Supplemental Information
Interest Income€13€453€29€5
Interest Expense€7,585€8,160€5,206€576
Depreciation & Amortization€4,247€3,204€3,431€2,442
EBITDA€6,444€12,741€13,178€14,572
% Margin10.6%20.4%23.2%27.1%
Cofle S.p.A. (CFL.MI) Financial Statements & Key Stats | AlphaPilot