Osotspa Public Company Limited

OSOPF · OTC
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12/31/2024
12/31/2023
12/31/2022
12/31/2021
Market Cap$65,312$111,660$112,286$117,668
- Cash$2,190$1,339$1,087$2,493
+ Debt$2,630$2,688$1,884$1,110
Enterprise Value$65,752$113,009$113,083$116,285
Revenue$27,069$26,070$27,266$26,762
% Growth3.8%-4.4%1.9%
Gross Profit$44,036$9,011$8,350$9,236
% Margin162.7%34.6%30.6%34.5%
EBITDA$3,761$4,510$3,664$5,196
% Margin13.9%17.3%13.4%19.4%
Net Income$1,638$2,402$1,934$3,255
% Margin6.1%9.2%7.1%12.2%
EPS Diluted0.540.80.641.08
% Growth-32.5%25%-40.7%
Operating Cash Flow$3,473$1,943$2,141$4,522
Capital Expenditures-$921-$1,267-$1,328-$2,715
Free Cash Flow$2,552$676$813$1,807
Osotspa Public Company Limited (OSOPF) Financial Statements & Key Stats | AlphaPilot