Pharmanutra S.p.A.
BIT:PHN
89,80
€-0,90 (-0,99%)
89,80
€-0,90 (-0,99%)
End-of-day quote: 06/05/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

€2,09
Earnings Per Share
€13,98
Revenue Per Share
50,54%
Gross Margin %
€0,86 B
Market Cap
€0,01 B
Long-Term Debt
Earnings Per Share
€2,09
Revenue Per Share
€13,98
Gross Margin %
50,54%
Market Cap
€0,86 B
Long-Term Debt
€0,01 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017
EPS Earnings Per Share €2,09 €1,73 €1,60 €1,56 €1,38 €1,20 €0,79 €0,81 €0,62
Earnings Earnings €20,02M €16,61M €15,38M €15,01M €13,36M €11,62M €7,65M €7,84M €6,00M
RPS Revenue Per Share €13,98 €12,18 €10,61 €8,67 €7,11 €6,06 €5,60 €4,89 €3,91
Revenue Revenue €133,97M €116,91M €101,96M €83,39M €68,84M €58,68M €54,21M €47,30M €37,87M
OCF Operating Cash Flow €19,56M €20,50M €12,09M €14,07M €20,41M €11,79M €12,00M €0,00M €5,71M
FCF Free Cash Flow €14,49M €16,25M €-1,16M €-8,82M €15,51M €10,46M €7,12M €0,00M €4,77M
OM Operating Margin 22,02% 23,56% 22,86% 27,78% 26,85% 24,95% 22,53% 23,83% 23,28%
GM % Gross Margin % 50,54% 51,00% 48,28% 50,47% 47,18% 46,71% 42,43% 41,61% 41,16%
FCFS Free Cash Flow Per Share €1,71 €1,69 €-0,12 €-0,90 €1,59 €1,04 €0,74 €0,58 €0,49
LT Debt Long-Term Debt €14,35M €18,15M €22,19M €13,61M €5,00M €0,31M €1,07M €1,83M €2,99M
Sha. Stocks 9,58M 9,6M 9,61M 9,62M 9,68M 9,68M 9,68M 9,68M 9,68M
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