Bertrandt
XTRA:BDT
14,72
€-0,18 (-1,21%)
14,72
€-0,18 (-1,21%)
End-of-day quote: 03/25/2026

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

€-3,43
Earnings Per Share
€98,79
Revenue Per Share
9,88%
Gross Margin %
€0,15 B
Market Cap
€0,10 B
Long-Term Debt
Earnings Per Share
€-3,43
Revenue Per Share
€98,79
Gross Margin %
9,88%
Market Cap
€0,15 B
Long-Term Debt
€0,10 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010
EPS Earnings Per Share €-3,43 €-7,64 €3,01 €2,09 €0,68 €0,37 €3,86 €4,69 €4,35 €6,30 €6,21 €6,19 €5,68 €5,14 €4,18 €3,11
Earnings Earnings €-34,68M €-77,24M €30,43M €21,11M €6,87M €3,74M €38,99M €47,37M €43,89M €63,57M €62,60M €62,40M €57,20M €51,71M €42,01M €31,22M
RPS Revenue Per Share €98,79 €117,40 €114,48 €99,92 €84,02 €90,61 €104,76 €100,98 €98,50 €98,38 €92,74 €86,37 €77,70 €70,51 €57,33 €42,71
Revenue Revenue €998,74M €1,19B €1,16B €1,01B €848,59M €915,19M €1,06B €1,02B €993,88M €992,69M €934,79M €870,56M €782,41M €709,32M €576,20M €428,83M
OCF Operating Cash Flow €35,77M €76,88M €38,46M €56,90M €73,70M €123,52M €72,28M €27,21M €42,18M €90,63M €36,97M €79,67M €77,73M €38,30M €23,73M €25,05M
FCF Free Cash Flow €18,13M €54,52M €7,11M €8,96M €35,90M €72,18M €24,59M €23,73M €6,51M €10,95M €-45,35M €15,46M €47,21M €-0,43M €0,96M €13,21M
OM Operating Margin -3,96% -8,14% 4,23% 3,73% 2,20% 1,55% 4,43% 6,66% 6,16% 9,15% 9,56% 9,99% 10,27% 10,45% 10,38% 9,59%
GM % Gross Margin % 9,88% 9,08% 16,03% 15,86% 14,84% 15,63% 17,52% 19,26% 18,58% 20,04% 19,97% 20,12% 20,36% 21,08% 21,18% 21,12%
FCFS Free Cash Flow Per Share €1,60 €5,70 €1,19 €2,56 €3,50 €7,12 €0,72 €-2,47 €0,43 €0,85 €-4,28 €3,78 €4,38 €-0,04 €-0,12 €1,30
LT Debt Long-Term Debt €99,88M €231,10M €237,72M €96,83M €257,85M €234,91M €212,42M €199,81M €215,74M €199,70M N/A N/A N/A N/A N/A N/A
Sha. Stocks 10,11M 10,11M 10,11M 10,1M 10,1M 10,1M 10,1M 10,1M 10,09M 10,09M 10,08M 10,08M 10,07M 10,06M 10,05M 10,04M
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