Crayon Group Holding ASA

CRAYF · OTC
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3/31/2025
12/31/2024
9/30/2024
6/30/2024
Market Cap$10,230$11,474$11,116$10,908
- Cash$1,459$1,654$1,346$1,435
+ Debt$1,850$1,962$3,439$2,109
Enterprise Value$10,621$11,782$13,209$11,582
Revenue$1,741$1,843$1,621$1,915
% Growth-5.5%13.7%-15.4%
Gross Profit$1,546$1,637$1,435$335
% Margin88.8%88.8%88.5%17.5%
EBITDA$124$244$262$337
% Margin7.1%13.2%16.2%17.6%
Net Income$48$43$77$125
% Margin2.8%2.3%4.8%6.5%
EPS Diluted0.530.470.851.38
% Growth12.8%-44.7%-38.4%
Operating Cash Flow$87$1,889-$1,286$522
Capital Expenditures-$56-$48$0-$39
Free Cash Flow$31$1,841-$1,286$483