Codere Online Luxembourg, S.A.

NASDAQ:CDRO

8.47 (USD) • At close July 3, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

202420232022202120202019
Revenue 200.704161.647115.74780.25370.49761.583
Cost of Revenue 7.7326.2794.8434.0244.25532.521
Gross Profit 192.972155.368110.90476.22966.24229.062
Gross Profit Ratio 0.9610.9610.9580.950.940.472
Reseach & Development Expenses 000000
General & Administrative Expenses 81.97577.16865.22343.5815.15731.91
Selling & Marketing Expenses 85.35575.12788.41248.21435.06334.429
SG&A 167.3375.655153.63591.7955.15766.339
Other Expenses 21.31117.82713.14413.97879.58911.121
Operating Expenses 188.641170.122166.779105.77384.74677.46
Operating Income 4.331-14.754-55.875-71.029-86.248-15.877
Operating Income Ratio 0.022-0.091-0.483-0.885-1.223-0.258
Total Other Income Expenses Net 1.0415.82612.46-41.418-0.52-0.269
Income Before Tax 5.372-8.928-43.415-67.047-14.769-16.146
Income Before Tax Ratio 0.027-0.055-0.375-0.835-0.209-0.262
Income Tax Expense 1.462-6.5132.9680.9661.51-0.053
Net Income 3.908-2.417-46.382-68.013-16.279-16.093
Net Income Ratio 0.019-0.015-0.401-0.847-0.231-0.261
EPS 0.09-0.05-1.03-1.51-0.33-268.27
EPS Diluted 0.08-0.05-1.03-1.51-0.33-268.22
EBITDA 4.719-14.64-30.216-65.765-13.149-14.683
EBITDA Ratio 0.024-0.091-0.261-0.819-0.187-0.238