Davide Campari-Milano N.V.

DVDCF · OTC
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6/30/2025
12/31/2024
6/30/2024
12/31/2023
Revenue$862$2,210$860$1,461
% Growth-61%157%-41.1%
Cost of Goods Sold$320$359$344$655
Gross Profit$543$434$516$806
% Margin62.9%19.6%60%55.2%
R&D Expenses$0$0$10$6
G&A Expenses-$141-$265-$106$865
SG&A Expenses$6-$147$29$547
Sales & Mktg Exp.$147$118$134-$317
Other Operating Expenses$325$1,192$291-$6
Operating Expenses$331$1,045$330$547
Operating Income$212$206$186$197
% Margin24.6%9.3%21.7%13.5%
Other Income/Exp. Net-$25-$117-$20-$41
Pre-Tax Income$187$89$166$156
Tax Expense$88-$31$94$41
Net Income$99$127$75$114
% Margin11.5%5.7%8.7%7.8%
EPS0.083-0.0150.0620.1
% Growth647%-124.3%-37.9%
EPS Diluted0.083-0.0150.0620.1
Weighted Avg Shares Out1,2021,2021,2021,132
Weighted Avg Shares Out Dil1,2021,2021,2021,135
Supplemental Information
Interest Income$4$32$6$9
Interest Expense$27$83$27$23
Depreciation & Amortization$56$51$77$34
EBITDA$270$287$207$276
% Margin31.3%13%24%18.9%
Davide Campari-Milano N.V. (DVDCF) Financial Statements & Key Stats | AlphaPilot