The reported statements, read against the company's own industry.
Financials view
Market Capitalization
283.96MEUR
331.54M · vs all stocks (USD)
Updated Aug 21, 2026
Trailing P/E
418.67x
vs Electrical Equipment & Parts peers
Updated Aug 21, 2026
Revenue (TTM)
485.58MEUR
566.93M · vs all stocks (USD)
Updated Aug 21, 2026
Profit Margin
0.14%
vs Electrical Equipment & Parts peers
Updated Aug 21, 2026
52-Week Change
18.27%
vs all stocks
Updated Aug 21, 2026
Market Capitalization
283.96MEUR
331.54M · vs all stocks (USD)
Updated Aug 21, 2026
Enterprise Value
276.30MEUR
322.59M · vs all stocks (USD)
Updated Aug 21, 2026
Trailing P/E
418.67x
vs Electrical Equipment & Parts peers
Updated Aug 21, 2026
Forward P/E
34.65x
vs Electrical Equipment & Parts peers
Updated Aug 21, 2026
Price to Sales (TTM)
0.5624x
vs Electrical Equipment & Parts peers
Provider-reported. Market Capitalization ÷ Revenue (TTM) on this page gives 0.58×.Updated Aug 21, 2026
Price to Book (MRQ)
1.78x
vs Electrical Equipment & Parts peers
Updated Aug 21, 2026
Enterprise to Revenue
0.5690x
vs Electrical Equipment & Parts peers
Updated Aug 21, 2026
Enterprise to EBITDA
14.53x
vs Electrical Equipment & Parts peers
Provider-reported. Enterprise Value ÷ EBITDA (TTM) on this page gives 10.56×.Updated Aug 21, 2026
Profit Margin
0.14%
vs Electrical Equipment & Parts peers
Updated Aug 21, 2026
Operating Margin
0.42%
vs Electrical Equipment & Parts peers
Updated Aug 21, 2026
Return on Assets (TTM)
1.12%
vs Electrical Equipment & Parts peers
Updated Aug 21, 2026
Return on Equity (TTM)
0.43%
vs Electrical Equipment & Parts peers
Updated Aug 21, 2026
Revenue (TTM)
485.58MEUR
566.93M · vs all stocks (USD)
Updated Aug 21, 2026
Revenue per Share (TTM)
22.39EURUpdated Aug 21, 2026
Quarterly Revenue Growth
23.60%
vs Electrical Equipment & Parts peers
Updated Aug 21, 2026
Gross Profit (TTM)
131.60MEUR
153.65M · vs all stocks (USD)
Updated Aug 21, 2026
EBITDA (TTM)
26.16MEUR
30.55M · vs all stocks (USD)
Updated Aug 21, 2026
Net Income (TTM)
660.00KEUR
770.58K · vs all stocks (USD)
Updated Aug 21, 2026
Operating Cash Flow (TTM)
58.24MEUR
68.00M · vs all stocks (USD)
Updated Aug 21, 2026
Levered Free Cash Flow (TTM)
42.32MEUR
49.41M · vs all stocks (USD)
Updated Aug 21, 2026
Trailing Annual Dividend Rate
0.00EURUpdated Aug 21, 2026
Trailing Annual Dividend Yield
0.00%
vs all stocks
Updated Aug 21, 2026
Payout Ratio
0.00%
vs Electrical Equipment & Parts peers
Updated Aug 21, 2026
Revenue
435.62MEURFY2025 · Dec 31, 2025
Cost of Goods Sold
310.73MEURFY2025 · Dec 31, 2025
Gross Profit
124.89MEURFY2025 · Dec 31, 2025
Operating Income
3.24MEUR
3.78M · vs all stocks (USD)
FY2025 · Dec 31, 2025
Pre-tax Income
105.00KEURFY2025 · Dec 31, 2025
Income Tax Expense
294.00KEURFY2025 · Dec 31, 2025
Net Income
-189.00KEURFY2025 · Dec 31, 2025
EBIT
3.44MEURFY2025 · Dec 31, 2025
EBITDA (Income Statement)
26.16MEURFY2025 · Dec 31, 2025
Research & Development
1.42MEURFY2025 · Dec 31, 2025
Selling, General & Administrative
17.14MEURFY2025 · Dec 31, 2025
Other Operating Expenses
3.06MEURFY2025 · Dec 31, 2025
Non-operating Interest Income
765.00KEURFY2025 · Dec 31, 2025
Non-operating Interest Expense
3.33MEURFY2025 · Dec 31, 2025
EPS (Basic)
-0.0100EURFY2025 · Dec 31, 2025
EPS (Diluted)
-0.0100EURFY2025 · Dec 31, 2025
Basic Shares Outstanding
21.68MSharesFY2025 · Dec 31, 2025
Diluted Shares Outstanding
21.68MSharesFY2025 · Dec 31, 2025
Net Income from Continuing Operations
2.67MEURFY2025 · Dec 31, 2025
Preferred Stock Dividends
0.00EURFY2025 · Dec 31, 2025
Operating Cash Flow
49.97MEURFY2025 · Dec 31, 2025
Free Cash Flow
46.44MEURFY2025 · Dec 31, 2025
Cash & Cash Equivalents (End of Period)
26.67MEURFY2025 · Dec 31, 2025
Starting Profit (CF Statement)
2.67MEURFY2025 · Dec 31, 2025
Stock-based Compensation
757.00KEURFY2025 · Dec 31, 2025
Change in Accounts Receivable (CF)
31.43MEURFY2025 · Dec 31, 2025
Change in Other Assets/Liabilities
15.11MEURFY2025 · Dec 31, 2025
Capital Expenditures
-3.54MEURFY2025 · Dec 31, 2025
Net Intangibles (CF)
-10.45MEURFY2025 · Dec 31, 2025
Net Investing Cash Flow
-3.54MEURFY2025 · Dec 31, 2025
Long-term Debt Issuance
433.00KEURFY2025 · Dec 31, 2025
Long-term Debt Payments
-9.34MEURFY2025 · Dec 31, 2025
Common Stock Repurchase
-47.00KEURFY2025 · Dec 31, 2025
Net Financing Cash Flow
-8.95MEURFY2025 · Dec 31, 2025
Shares Outstanding
21.74MSharesUpdated Aug 21, 2026
Float Shares
21.10MSharesUpdated Aug 21, 2026
% Held by Insiders
0.50%
vs all stocks
Updated Aug 21, 2026
% Held by Institutions
37.53%
vs all stocks
Updated Aug 21, 2026
Total Cash (MRQ)
51.09MEUR
59.64M · vs all stocks (USD)
Updated Aug 21, 2026
Total Cash per Share (MRQ)
2.36EURUpdated Aug 21, 2026
Total Debt (MRQ)
44.93MEUR
52.46M · vs all stocks (USD)
Updated Aug 21, 2026
Total Debt to Equity (MRQ)
0.2948x
vs Electrical Equipment & Parts peers
Updated Aug 21, 2026
Current Ratio (MRQ)
1.82x
vs Electrical Equipment & Parts peers
Updated Aug 21, 2026
Book Value per Share (MRQ)
7.05EURUpdated Aug 21, 2026
Total Assets
312.53MEUR
364.89M · vs all stocks (USD)
FY2025 · Dec 31, 2025
Total Current Assets
205.24MEURFY2025 · Dec 31, 2025
Total Liabilities
159.77MEURFY2025 · Dec 31, 2025
Total Non-current Assets
107.29MEURFY2025 · Dec 31, 2025
Total Non-current Liabilities
53.63MEURFY2025 · Dec 31, 2025
Total Current Liabilities
106.13MEURFY2025 · Dec 31, 2025
Cash & Cash Equivalents
26.67MEURFY2025 · Dec 31, 2025
Accounts Receivable
55.61MEURFY2025 · Dec 31, 2025
Inventory
81.69MEURFY2025 · Dec 31, 2025
Accounts Payable
97.19MEURFY2025 · Dec 31, 2025
Short-term Debt
8.81MEURFY2025 · Dec 31, 2025
Long-term Debt
38.56MEURFY2025 · Dec 31, 2025
Common Stock (Book)
2.17MEURFY2025 · Dec 31, 2025
Retained Earnings
102.51MEURFY2025 · Dec 31, 2025
Total Shareholders' Equity
152.76MEUR
178.36M · vs all stocks (USD)
FY2025 · Dec 31, 2025
52-Week Low
8.05EURUpdated Aug 21, 2026
52-Week High
19.90EURUpdated Aug 21, 2026
52-Week Change
18.27%
vs all stocks
Updated Aug 21, 2026
50-Day MA
13.91EURUpdated Aug 21, 2026
200-Day MA
11.71EURUpdated Aug 21, 2026
Avg 10-Day Volume
405.47KSharesUpdated Aug 21, 2026
Avg 30-Day Volume
228.01KSharesUpdated Aug 21, 2026
Diluted EPS (TTM)
0.0300EURUpdated Aug 21, 2026
1 interpretation currently present — each is a set of fired observations whose alignment reads as one structural pattern. Click an observation to see the numbers behind it.
Its free cash flow is large next to assets and equity, and more of its operating cash reaches it than in its industry.
Reads
An interpretation is present only while every observation it reads stays fired (score ≥ 70). It describes what the aligned readings show — never a verdict, never a prediction.
Shared structure with peers — never a ranking.
Relationships view
Structural observations derived from financial data, industry benchmarks, and supply chain position.
Peer Positioning
P/E ratio is 418.67×, higher than 95% of its Electrical Equipment & Parts peers (median 37.04×)Significant