Camplify Holdings Limited

ASX:CHL.AX

1.33 (AUD) • At close September 18, 2024
Overview | Financials

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

202420232022202120202019
Revenue 47.75238.22916.3578.4652.9471.66
Cost of Revenue 37.65725.41615.9127.0850.9370.475
Gross Profit 10.09512.8130.4461.382.011.185
Gross Profit Ratio 0.2110.3350.0270.1630.6820.714
Reseach & Development Expenses 000000
General & Administrative Expenses 01.770.8760.5570.2130.167
Selling & Marketing Expenses 06.1033.8781.4631.0430.656
SG&A 11.0758.3055.1842.284.0052.133
Other Expenses -7.406-5.57-2.902-1.38100
Operating Expenses 18.48213.8748.0863.664.4442.645
Operating Income -8.386-1.061-7.64-2.28-2.52-1.496
Operating Income Ratio -0.176-0.028-0.467-0.269-0.855-0.901
Total Other Income Expenses Net 0.123-2.95-0.875-0.1880.135-0.139
Income Before Tax -8.264-4.012-8.515-2.468-2.385-1.635
Income Before Tax Ratio -0.173-0.105-0.521-0.292-0.809-0.985
Income Tax Expense -0.145-0.403-0.35-0.4040.073-0.142
Net Income -8.119-3.609-8.165-2.064-2.312-1.635
Net Income Ratio -0.17-0.094-0.499-0.244-0.785-0.985
EPS -0.11-0.063-0.21-0.053-0.0840
EPS Diluted -0.11-0.063-0.21-0.053-0.0840
EBITDA -6.069-0.004-7.397-2.136-2.506-1.467
EBITDA Ratio -0.127-0-0.452-0.252-0.85-0.884