Pharma Mar
BME:PHM
91,00
+ €0,80 (0,89%)
91,00
+€0,80 (0,89%)
End-of-day quote: 04/02/2026

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

€1,49
Earnings Per Share
€9,95
Revenue Per Share
95,32%
Gross Margin %
€1,57 B
Market Cap
€0,04 B
Long-Term Debt
Earnings Per Share
€1,49
Revenue Per Share
€9,95
Gross Margin %
95,32%
Market Cap
€1,57 B
Long-Term Debt
€0,04 B

Financials

Year Year 2026 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
EPS Earnings Per Share €1,49 €0,06 €2,73 €5,13 €7,49 €-0,48 €-0,84 €-1,39 €-1,32 €0,36
Earnings Earnings €26,18M €1,06M €49,44M €92,39M €135,64M €-8,88M €-15,49M €-25,63M €-24,31M €6,64M
RPS Revenue Per Share €0,00 €9,95 €8,97 €10,84 €12,76 €14,91 €4,64 €8,82 €8,82 €8,91 €8,78
Revenue Revenue €0,00M €174,86M €158,15M €196,34M €229,83M €269,96M €85,82M €162,59M €162,62M €164,04M €161,99M
OCF Operating Cash Flow €0,00M €10,66M €10,02M €86,85M €100,77M €181,27M €-26,14M €-12,36M €-11,66M €-16,40M €11,10M
FCF Free Cash Flow €0,00M €-9,48M €-7,27M €29,47M €17,87M €275,94M €-30,05M €-18,72M €-6,12M €-14,51M €1,88M
OM Operating Margin 0,00% 3,70% -2,42% 21,43% 40,22% 58,02% -20,36% -14,74% -12,30% -10,34% 5,83%
GM % Gross Margin % 0,00% 95,32% 93,92% 93,05% 92,85% 94,92% 93,91% 95,47% 78,01% 75,70% 76,42%
FCFS Free Cash Flow Per Share €0,00 €-0,54 €-1,64 €1,63 €0,99 €15,08 €-1,53 €-1,02 €-0,33 €-0,79 €0,10
LT Debt Long-Term Debt N/A €39,87M €27,04M €25,88M €33,39M €37,73M €53,06M €64,92M €73,61M €67,58M €64,97M
Sha. Stocks 17,57M 17,57M 17,64M 18,11M 18,01M 18,11M 18,5M 18,44M 18,44M 18,42M 18,44M
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