Better Collective A/S
BETCO.DKK · Nasdaq Copenhagen · Denmark
bettercollective.comFinancials as of FY2025
At a glance
- Depends onDownstream position: depends on 10 industries, supplies 5
- ScaleLevered free cash flow is $43.94M, above the global median of $16.24M
- FinancialsAltman Z-Score 1.58: grey zone
Sign in to view price data.
Sign inThe reported statements, read against the company's own industry.
Financials view
Market Capitalization
4.55BDKK702.27M · vs all stocks (USD)
Trailing P/E
24.21xRevenue (TTM)
2.54BDKK392.77M · vs all stocks (USD)
Profit Margin
8.01%Beta
0.5110xvs all stocks
52-Week Change
-14.91%vs all stocks
Market Capitalization
4.55BDKK702.27M · vs all stocks (USD)
Enterprise Value
40.24BDKK6.21B · vs all stocks (USD)
Trailing P/E
24.21xForward P/E
9.49xPEG Ratio
0.2421xPrice to Sales (TTM)
13.75xPrice to Book (MRQ)
1.04xEnterprise to Revenue
15.81xEnterprise to EBITDA
53.32xGross Margin
38.98%Profit Margin
8.01%Operating Margin
17.13%Return on Assets (TTM)
3.62%Return on Equity (TTM)
4.16%Revenue (TTM)
2.54BDKK392.77M · vs all stocks (USD)
Revenue per Share (TTM)
5.45DKKUpdated Jul 16, 2026Quarterly Revenue Growth
4.50%Gross Profit (TTM)
1.03BDKK158.52M · vs all stocks (USD)
Net Income (TTM)
203.89MDKK31.47M · vs all stocks (USD)
Quarterly Earnings Growth (YoY)
101.20%Operating Cash Flow (TTM)
441.65MDKK68.17M · vs all stocks (USD)
Levered Free Cash Flow (TTM)
284.67MDKK43.94M · vs all stocks (USD)
Trailing Annual Dividend Rate
0.00DKKUpdated Jul 16, 2026Trailing Annual Dividend Yield
0.00%vs all stocks
Payout Ratio
0.00%Revenue
336.67MEURFY2025 · Dec 31, 2025Cost of Goods Sold
188.75MEURFY2025 · Dec 31, 2025Gross Profit
147.91MEURFY2025 · Dec 31, 2025Operating Income
61.38MEUR70.84M · vs all stocks (USD)
Pre-tax Income
31.18MEURFY2025 · Dec 31, 2025Income Tax Expense
7.59MEURFY2025 · Dec 31, 2025Net Income
23.59MEURFY2025 · Dec 31, 2025EBIT
43.08MEURFY2025 · Dec 31, 2025EBITDA (Income Statement)
94.16MEURFY2025 · Dec 31, 2025Other Operating Expenses
32.45MEURFY2025 · Dec 31, 2025Non-operating Interest Income
274.00KEURFY2025 · Dec 31, 2025Non-operating Interest Expense
11.90MEURFY2025 · Dec 31, 2025Preferred Stock Dividends
0.00EURFY2025 · Dec 31, 2025Operating Cash Flow
57.48MEURFY2025 · Dec 31, 2025Free Cash Flow
57.13MEURFY2025 · Dec 31, 2025Cash & Cash Equivalents (End of Period)
13.49MEURFY2025 · Dec 31, 2025Starting Profit (CF Statement)
31.18MEURFY2025 · Dec 31, 2025Other Non-cash Items
32.90MEURFY2025 · Dec 31, 2025Change in Accounts Receivable (CF)
-9.83MEURFY2025 · Dec 31, 2025Change in Other Assets/Liabilities
3.23MEURFY2025 · Dec 31, 2025Capital Expenditures
-347.00KEURFY2025 · Dec 31, 2025Net Intangibles (CF)
-24.74MEURFY2025 · Dec 31, 2025Net Acquisitions
-9.69MEURFY2025 · Dec 31, 2025Sale of Investments
0.00EURFY2025 · Dec 31, 2025Other Investing Activity
100.00KEURFY2025 · Dec 31, 2025Net Investing Cash Flow
-9.94MEURFY2025 · Dec 31, 2025Long-term Debt Issuance
0.00EURFY2025 · Dec 31, 2025Long-term Debt Payments
0.00EURFY2025 · Dec 31, 2025Common Stock Repurchase
-35.59MEURFY2025 · Dec 31, 2025Net Financing Cash Flow
-35.96MEURFY2025 · Dec 31, 2025Shares Outstanding
58.11MSharesUpdated Jul 16, 2026Float Shares
33.45MSharesUpdated Jul 16, 2026% Held by Insiders
50.11%vs all stocks
% Held by Institutions
40.14%vs all stocks
Total Cash (MRQ)
150.79MDKK23.27M · vs all stocks (USD)
Total Cash per Share (MRQ)
0.3310DKKUpdated Jul 16, 2026Total Debt (MRQ)
2.39BDKK369.49M · vs all stocks (USD)
Total Debt to Equity (MRQ)
0.5007xCurrent Ratio (MRQ)
1.75xBook Value per Share (MRQ)
78.36DKKUpdated Jul 16, 2026Total Assets
1.07BEUR1.24B · vs all stocks (USD)
Total Current Assets
100.84MEURFY2025 · Dec 31, 2025Total Liabilities
443.12MEURFY2025 · Dec 31, 2025Total Non-current Assets
973.28MEURFY2025 · Dec 31, 2025Total Non-current Liabilities
380.45MEURFY2025 · Dec 31, 2025Total Current Liabilities
62.67MEURFY2025 · Dec 31, 2025Cash
13.49MEURFY2025 · Dec 31, 2025Cash & Cash Equivalents
13.49MEURFY2025 · Dec 31, 2025Accounts Receivable
36.78MEURFY2025 · Dec 31, 2025Accounts Payable
10.58MEURFY2025 · Dec 31, 2025Short-term Debt
3.67MEURFY2025 · Dec 31, 2025Long-term Debt
268.25MEURFY2025 · Dec 31, 2025Common Stock (Book)
620.00KEURFY2025 · Dec 31, 2025Retained Earnings
206.50MEURFY2025 · Dec 31, 2025Total Shareholders' Equity
631.00MEUR728.22M · vs all stocks (USD)
Treasury Stock
35.48MEURFY2025 · Dec 31, 202552-Week Low
71.20DKKUpdated Jul 16, 202652-Week High
105.00DKKUpdated Jul 16, 202652-Week Change
-14.91%vs all stocks
Beta
0.5110xvs all stocks
50-Day MA
84.95DKKUpdated Jul 16, 2026200-Day MA
84.48DKKUpdated Jul 16, 2026Avg 10-Day Volume
34.52KSharesUpdated Jul 16, 2026Avg 30-Day Volume
41.96KSharesUpdated Jul 16, 2026Diluted EPS (TTM)
3.37DKKUpdated Jul 16, 2026Shared structure with peers — never a ranking.
Relationships view
Structural observations derived from financial data, industry benchmarks, and supply chain position.
Financial Health
Altman Z-Score 1.58: grey zoneSignificant
Altman Z-Score: 1.58
High earnings qualityNotable
Earnings Quality Score: 1.62
Supply Chain
Downstream position: depends on 10 industries, supplies 5Notable
Outgoing: 5.00Incoming: 10.00
High connectivity hub: 15 industry connectionsNotable
Total Connections: 15.00
Scale
Levered free cash flow is $43.94M, above the global median of $16.24MNotable
Levered free cash flow (USD): 43,938,265.477Global Median: 16,239,329.704
Companies that share the same coordination system — how they create, deliver, or capture value.
Marketingforce Management Ltd.
Tier 1AttentionRecurring-Revenue Lock-InSenseMakingInterface
Duolingo, Inc.
Tier 1AttentionRecurring-Revenue Lock-InSenseMakingInterface
Inly Media Co., Ltd.
Tier 3AttentionExpertise LeverageInterfaceSenseMaking
Hubei Broadcasting & Television Information Network Co., Ltd.
Tier 3AttentionPerishable CapacityFlowInterface
Guangdong Insight Brand Management Co., Ltd.
Tier 3AttentionExpertise LeverageSenseMakingInterface
VGI Public Company Limited
Tier 3AttentionThroughput-Bound ConversionInterfaceSenseMaking
Angel Studios, Inc.
Tier 3AttentionExpertise LeverageProductionInterface
Surya Citra Media Tbk PT
Tier 3AttentionPerishable CapacityInterfaceProduction
CJ CGV Co., Ltd.
Tier 3AttentionExpertise LeverageInterfaceFlow
TV Tokyo Holdings Corporation
Tier 3AttentionPerishable CapacityInterfaceFlow