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The Character Group plc

CCT.LLSE
£295.00
£-1.00(-0.34%)

The Character Group plc (CCT.L) Financial Performance & Income Statement Overview

Review The Character Group plc’s income statement, balance sheet, and cash flow reports with annual and quarterly breakdowns.

Revenue Growth
0.68%
0.68%
Operating Income Growth
23.51%
23.51%
Net Income Growth
41.53%
41.53%
Operating Cash Flow Growth
504.07%
504.07%
Operating Margin
4.96%
4.96%
Gross Margin
26.54%
26.54%
Net Profit Margin
4.01%
4.01%
ROE
12.80%
12.80%
ROIC
15.52%
15.52%

The Character Group plc (CCT.L) Income Statement & Financial Overview

Review The Character Group plc's (CCT.L) income statement with detailed quarterly and annual figures.

MetricQ4 2024Q2 2024Q4 2023Q2 2023
Revenue$65.80M$57.62M$64.70M$57.89M
Cost of Revenue$48.74M$41.93M$47.47M$42.34M
Gross Profit$17.06M$15.69M$17.23M$15.55M
Gross Profit Ratio$0.26$0.27$0.27$0.27
R&D Expenses$0.00$0.00$2.21M$0.00
SG&A Expenses$13.02M$13.73M$12.71M$15.25M
Operating Expenses$13.02M$13.46M$12.71M$15.25M
Total Costs & Expenses-$61.76M$55.38M$60.17M$57.59M
Interest Income$126000.00$58000.00$98000.00$75000.00
Interest Expense$21000.00$60000.00$105000.00$164000.00
Depreciation & Amortization$1.82M$1.65M$1.51M$2.04M
EBITDA$5.30M$3.93M$6.11M$2.41M
EBITDA Ratio$0.08$0.07$0.09$0.04
Operating Income$4.04M$2.08M$4.53M$298000.00
Operating Income Ratio$0.06$0.04$0.07$0.005
Other Income/Expenses (Net)-$589000.00$152000.00-$36000.00-$97000.00
Income Before Tax$3.46M$2.23M$4.49M$201000.00
Income Before Tax Ratio$0.05$0.04$0.07$0.003
Income Tax Expense$305000.00$426000.00$830000.00$365000.00
Net Income$3.15M$1.80M$3.66M-$164000.00
Net Income Ratio$0.05$0.03$0.06-$0.003
EPS$0.17$0.09$0.19-$0.009
Diluted EPS$0.17$0.09$0.19-$0.009
Weighted Avg Shares Outstanding$18.92M$19.35M$19.37M$19.33M
Weighted Avg Shares Outstanding (Diluted)$18.95M$19.37M$19.49M$19.33M

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