ReFuels N.V.

REFL.OL · OSL
Analyze with AI
9/30/2025
6/30/2025
3/31/2025
12/31/2024
Market CapNOK 62,560NOK 83,599NOK 82,071NOK 47,057
- CashNOK 685NOK 89NOK 6,337NOK 6,298
+ DebtNOK 0NOK 0NOK 36,459NOK 35,448
Enterprise ValueNOK 61,875NOK 83,510NOK 112,193NOK 76,207
RevenueNOK 0NOK 0NOK 46,155NOK 44,070
% Growth-100%4.7%
Gross ProfitNOK 0NOK 0NOK 6,943NOK 4,220
% Margin15%9.6%
EBITDA-NOK 2,859NOK 172NOK 4,227-NOK 972
% Margin9.2%-2.2%
Net IncomeNOK 19,073NOK 49,163NOK 3,025-NOK 5,977
% Margin6.6%-13.6%
EPS Diluted0.0230.810.05-0.099
% Growth-97.1%1,529.8%150.3%
Operating Cash Flow-NOK 2,791NOK 7,574-NOK 187-NOK 1,838
Capital ExpendituresNOK 0NOK 0-NOK 34-NOK 23
Free Cash Flow-NOK 2,791NOK 7,574-NOK 221-NOK 1,861
ReFuels N.V. (REFL.OL) Financial Statements & Key Stats | AlphaPilot